
Job description
Key Areas of Responsibilities Input all buy / sell transactions across Equities, Bonds, Structured products, FX, Funds and IPOs. Responsible for day end transactions matching, ensuring no outstanding orders unmatched or unplaced. Execute trade orders in all covered markets. Support sales with meticulous accuracy and efficiency.
Execute and deliver the best execution services to the clients.
Requirements
Bachelor’s degree or above in Finance, Business or related discipline Minimum 3 years of relevant dealing experience with good understanding of Equities, Bonds, Structured products, FX, Funds and IPOs. Licensed with regulated activities and familiar with regulatory and compliance requirements. Experience in handling executions for institutions, fund / investment managers and / or hedge funds will be very useful for the wealth management dealing business.
Experience in using trading system with good counterparty relationships. Good knowledge in Excel and Bloomberg is a plus. Willing to work in two rotating shifts (including night shift) if required. Able to work effectively under pressure and be a team player. Good command of written and spoken English and Mandarin to engage with regional stakeholders in Mandarin-speaking markets.
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