Description The main responsibility is to publish daily, quarterly, and thematic fixed income research with corporate bonds as the main focus, followed by government bonds. The main geographical focus is Malaysia, followed by Singapore, Indonesia, Description The main responsibility is to publish daily, quarterly, and thematic fixed income research with corporate bonds as the main focus, followed by government bonds. The main geographical focus is Malaysia, followed by Singapore, Indonesia, and Thailand. The research should a combination of quantitative, market color, and data driven with deep analysis. Proprietary indicators in fixed income could be included in this detailed analysis along with positioning indicators. A good working relationship with the Global Treasury department, DCM, and other relevant departments. Collaboration with the rest of the research team is important. Client presentations when needed along with participation in internal meetings when required. Requirements Requirements: Bachelor Degree - . Finance-related undergraduate degree.. Postgraduate qualification(s) in a cognate discipline is(are) preferred. E.g. Economics, Finance, Accounting, etc.. - . Investment Advisor licence or similar, issued by local securities regulatory authorities.. CFA (preferred). 10 years of research experience in an established financial institution. Strong ability to write and present fluently in English Ability to use MS Word, Excel and Powerpoint Industry experience would be an advantage Qualitative and quantitative research skills familiarity with the research process. Benefits Dental, Education support, Miscellaneous allowance, Medical, Loans, Sports (e.g. Gym), Parking, Vision, Regular hours, Mondays - Fridays, Casual Business Wear, Performance Based Rewards
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