Position Summary
This role is primarily responsible for credit analysis of Sukuk issuers and money market counterparties. The candidate is expected to perform fundamental credit research and recommend suitable investments to the Head of Institutional Asset Management and/or Head of Fixed Income.
This role comprises of comprehensive analysis of fixed income instruments, analyzing risk parameters in both credit and interest rate movements and predicting behavior of FX hedges in client portfolios. This role also includes managing counterparty relationships including brokers, issuers and debt capital management teams.
Requirements & Experience
- Degree in Accounting / Finance / Economics / Investments / Business Studies or related field.
- Strong verbal and written communication skills for communicating with internal and external stakeholders.
- Proficient in Microsoft office suite (Word, Excel, PowerPoint, Access, etc.)
- Ability to work with limited supervision and collaborate effectively in a team.
- Exposure to macro-economic environments, financial markets and asset management principles is an advantage.
- Experience in Bloomberg terminal usage is an advantage.
- Professional Industry-related qualifications such as CFA, ACCA, FRM etc. is an advantage.
Key Responsibilities
- To assist in performing fundamental analysis for Sukuk issuers. This would involve preparing proposal papers for submission to BIBDS Investment Committee.
- To ensure portfolio and market data is updated and accurate to assist in trade decisions.
- To keep up to date with earnings announcements and extraordinary corporate actions. This role is expected to be the key person responsible for earning updates and market news.
- To monitor price volatility in client portfolios and to report to the Head if there are major price movements.
- To create proposal papers for suitable investments. Proposal papers need very quick turnaround times (1-2 days for primary issuances). The candidate is expected to be able to manage this expectation.
- .To prepare suitable research reports for internal and external clients. This may include performance reporting, monthly updates as well as market insights.
- To assess and onboard new counterparties including brokers, money market or FX counterparts.
- To maintain and monitor the counterparty list including performing annual reviews and ensuring all records are up to date.
- To be able to work on any projects assigned by the Head of Institutional Asset Management / Head of Fixed Income / Managing Director of BIBDS.
To Apply
Send your complete resume with supporting documents to omp.hrhcd@bibd.com.bn by 3 December 2024.
Please state your email subject as HRD100492024.
Only shortlisted candidates will be notified for interview.
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