FICC - Asset Solutions - REITs Trader
Huatai · Hong Kong
About The Role
About Us: Huatai International Financial Holdings Company Limited (“Huatai International” or “the Company”), is the only overseas wholly-owned or controlled subsidiary of Huatai Securities. Huatai International is the Huatai Group’s international arm which plays as a crucial role in the group's internationalization strategy by: a) not only providing offshore capital market services (and a global business platform) but also provides onshore clients with valuable cross-border capital market services (aligned with the mainland China government’s policies and commercial intentions); b) actively making use of Huatai Securities’ leading position, distribution network and customer base in mainland China; c) integrating on a global basis across many jurisdictions and regions, a successful and fully integrated international financial platform with innovative financial services solutions. Huatai International operates as a holding company for consolidating all of the group’s cross-border businesses and companies under one umbrella, offering a truly unified and international business platform. In recognition of such international strength, the renowned international rating agency Standard and Poor’s has assigned Huatai International a “BBB+” rating (for long term) and “A-2” (for short-term). Key Responsibilities Conduct research on REITs assets and actively develop investment and trading strategies. Source onshore and offshore REITs-related assets. Develop productization strategies for REITs portfolios, manage post-investment activities, and implement related risk hedging. Execute trades involving REITs assets. Qualifications Full-time master’s degree or higher in Finance, Mathematics, Computer Science, Physics, or a related field. Solid foundation in financial theory; knowledge of derivative pricing models; strong quantitative and statistical analysis skills with model pricing capabilities. Minimum 3 years of experience in REITs investment or trading, familiar with pricing, execution, risk management, and portfolio administration. Strong programming skills; proficiency in using APIs of mainstream financial data platforms such as Wind, Bloomberg, and Capital IQ. Demonstrated ability to source primary market assets.
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