Top Chinese securities.
- Execute trades across multiple asset classes, including macro (rates & FX), credit, equity, and related derivative/structured products;
- Develop and implement efficient execution strategies and trading plans in alignment with investment manager directions;
- Monitor real-time market conditions, including liquidity, transaction flows, and emerging trends, to provide actionable insights for investment decisions;
- Ensure trading system stability and proactively optimize trading venues for execution efficiency;
- Cultivate and maintain external trading relationships with brokers, dealers, and trading platform providers;
- Collaborate with investment managers to onboard new trading instruments and ensure seamless integration.
- Master’s degree in Mathematics, Physics, Economics, Finance, or a related quantitative field;
- 3+ years of trading experience in a buy-side environment (e.g., asset management, hedge fund, bank, or insurance);
- Solid understanding of financial instruments and a strong desire to expand trading expertise;
- Strong analytical & quantitative skills, with proficiency in Python, R, MATLAB, or similar programming tools;
Excellent communication skills, teamwork mentality, and ability to perform under pressure.