The posting
Job Description: International Index Fund Manager (Options Focus)
About Our Client: - Top Chinese Asset Management Institution
Location: - Hong Kong
Responsibilities: - Manage portfolios of index fund products, ensuring strict tracking of benchmark indices, conducting portfolio construction and regular reviews, and optimizing tracking error based on market conditions. - Design and execute derivative enhancement strategies, such as covered calls, and dynamically manage options positions. - Collaborate closely with the research team and trading department to refine the index and options investment management framework, ensuring effective application of research outcomes. - Lead the systematic development of index investment and options trading systems to improve portfolio management efficiency. - Work with product and marketing departments to provide professional and technical support for the design, roadshows, and client Q&A of derivative products, including covered call strategies.
Requirements: - Master’s degree or above, preferably in financial engineering, mathematics, quantitative finance, or related disciplines. - Minimum of 3 years of index investment management experience, including hands-on live management experience with covered calls or derivatives, and a proven track record in portfolio management. - Deep understanding of domestic and overseas index markets, ETF products, and options/derivative instruments. - Excellent written and verbal communication skills in both Chinese and English; English can be used as a working language. - High personal standards, strong logical thinking, a positive and proactive attitude, and robust problem-solving skills.



