5.26 CareerIn投行PEVC工作机会(校招+社招):Fidelity/嘉实基金/险峰长青



CareerIn投行PEVC工作机会(校招+社招):Fidelity/嘉实基金/险峰长青
富达(Fidelity)招聘宏观策略职位(上海)
Macro Strategist - China
Shanghai Office
2022-5-23
Purpose of your role
Fidelity International is looking for a Macro Economist focused on China. The China macroeconomist will develop and disseminate economic and investment views and be an integral member of Fidelity’s Asset Management Company in China.  You will provide key inputs into the Fidelity ‘House View’ for internal and external consumption.   
You will undertake fundamental, primary research and analysis of Chinese and broader macroeconomic policy, as well as political and market topics from a top-down perspective.  The role will contribute to the dissemination of high quality, influential research as well as analytical insights through a variety of publications and forums.  Engagement with and influence of a variety of internal and external stakeholders is a key part of the function, with the purpose of developing investment ideas and raising the external profile of the company in China.
Key Responsibilities
Provide macro-economic forecasts for, and analytical insights into, the key economic and policy indicators for China.This includes forecasting and assessing key macro indicators, analysing government policy, interpreting data releases, and formulating firm opinions on the direction of Chinese policy-making.
Evaluate investment opportunities in the China region by evaluating and forecasting macroeconomic data and contributing investment ideas to the broad asset management team.
Direct participation in the formation of Fidelity’s House View, with further contribution to both internal and external research output.  Support the Macro and Investment Strategy team in this effort.
Creating a quantitative framework: developing and maintaining proprietary macroeconomic indicators and models for the Chinese economy, in conjunction with Fidelity’s quantitative research teams across the asset classes.
Closely interacting with Fidelity’s AMC investment teams to develop views on asset allocation, based on quantitative models and qualitative insights; support investment processes through communication of views and opinions.
Be a contributor to Fidelity forums across the asset management team.
Actively participate in fund meetings across Fixed Income, Equities, and Multi Asset to contribute to tactical and longer-term asset allocation recommendations.
Engage with internal and external clients and provide insights on macro topics at client conferences, meetings, etc.
Support marketing and asset growth initiatives by writing white papers and creating thought leadership content. 
Experience and Qualifications Required
Formal postgraduate economic qualification or significant experience as a practitioner.
5 years of experience working in a research role covering China macroeconomics and/or China macro investing within the investment industry, a Chinese government policy agency or Chinese think tank. Experience as a lecturer or professor within academia also applicable.
The role is flexible in scope and would also be suited to more experienced candidates.
Strong bilingual ability in Mandarin (both written and spoken) as well as English is required.
Excellent understanding of Chinese politics.
A proven track record in writing, showing insightful and pragmatic economic analysis with an understanding of investment implications, demonstrating original thinking, conviction, open-mindedness and the ability to see a bigger picture.
Strong written and verbal communication skills.
Some international travel in this role can be expected.
Strong team-playing skills, enabling effective relationships across the firm.
Excellent quantitative skills, including experience with a range of statistical tools and methods, as well as the ability to integrate them in original empirical work.
Ability to communicate effectively with the media and deliver thematic presentation to a range of clients
申请链接:
https://fil.wd3.myworkdayjobs.com/en-US/001/job/Shanghai-Office/Macro-Strategist---China_J32097-1
* 投递时请注明信息来源于“CareerIn投行PEVC”(或简称CareerIn)公众号
若您是招聘方,欢迎使用公司邮箱,发送招聘信息至apply@careerin.cn
嘉实基金招聘债券交易员(上海)
债券交易员(资金)
发布时间:2022-05-20
债券交易部
投研类
上海市·浦东新区
岗位职责:
负责执行银行间资金交易指令,及时跟踪交易清算,确保交易顺利进行;
完成与交易相关的分析支持工作、完善资金面分析框架,输出研究报告;
积极维护交易对手关系,为组合提供融资、融券支持。
任职要求:
国内外重点大学全日制硕士以上学历,金融、经济等相关专业优先;
具备1-2年基金、银行、保险、证券公司等机构的银行间资金交易经验;
具有良好的人际交往能力和团队合作精神,较强的风险控制意识。
申请链接:
https://app.mokahr.com/social-recruitment/jsfund/44123#/job/242519eb-6795-4a0e-a9e0-69f31193be46
* 投递时请注明信息来源于“CareerIn投行PEVC”(或简称CareerIn)公众号
若您是招聘方,欢迎使用公司邮箱,发送招聘信息至apply@careerin.cn
险峰长青K2VC投资实习生招募(北京)
险峰长青成立于2010年,主要投资互联网、消费和高科技行业,覆盖从天使轮到B轮。作为市场领先的早期投资机构,险峰长青(K2VC)已投资了聚美优品(NASDAQ:JMEI)、乐信(NASDAQ:LX)、老虎证券(NASDAQ:TIGR)等三百多家创业企业。
岗位名称:投资实习生
工作地点:北京市朝阳区东三环北路38号泰康金融大厦(近期可远程)
职位描述:
1、协助投资团队进行deal-sourcing,项目沟通、完成会议纪要,有机会参与从sourcing-研究判断—尽职调查—close的完整过程
2、完成相关项目的材料调研梳理及数据分析统计等工作;
3、根据mentor要求,定期协助收集行业及细分领域发展,完成公司业务分析及信息整合。
4、主要关注泛科技等领域投资方向:前沿技术和技术驱动的企业服务领域、生物技术、新能源等。
 
我们希望你:
1、对VC行业有强烈兴趣,对TMT或者泛科技方向等有一定了解,有持续的好奇心;
2、有优秀的沟通表达能力和结构化报告能力,对互联网甚至社会大环境有自己独特的认知,对技术创新领域有浓厚兴趣,起码对某一细分领域有一定的研究和了解;
3、熟悉各种科技媒体source工具的使用,有VC、FA、投行、咨询等相关行业实习经历优先考虑;
4、每周天数:4-5天,持续时长:4-6个月。
投递邮箱:
talent@k2vc.com
* 投递时请注明信息来源于“CareerIn投行PEVC”(或简称CareerIn)公众号
若您是招聘方,欢迎使用公司邮箱,发送招聘信息至apply@careerin.cn

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