Product Manager
About Our Client:
- Leading asset management and financial services group
Location:
- Hong Kong
Responsibilities:
- Develop and implement robust interest rate strategies based on macroeconomic outlook, monetary policy, liquidity conditions, and yield curve analysis.
- Manage public fund portfolios invested in interest rate instruments, including CNH, HKD, and USD rate products.
- Conduct full-cycle portfolio management, including duration positioning, curve positioning, leverage management, and hedging using interest rate derivatives.
- Monitor portfolio performance, risk metrics, and market developments; generate performance attribution and conduct regular investment reviews.
- Work closely with research, trading, risk, compliance, and product teams to ensure smooth operation and effective risk control.
- Participate in product development, fund roadshows, and client communication for fixed income public fund products.
- Ensure full compliance with SFC regulations, internal policies, and risk limits at all times.

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