Huatai International Financial Holdings Company Limited
刊登於 12-09-2026
月薪 Monthly

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About Us

Huatai International Financial Holdings Company Limited (“Huatai International” or “the Company”), is the only overseas wholly-owned or controlled subsidiary of Huatai Securities. Huatai International is the Huatai Group’s international arm which plays as a crucial role in the group's internationalization strategy by:

  • not only providing offshore capital market services (and a global business platform) but also provides onshore clients with valuable cross-border capital market services (aligned with the mainland China government’s policies and commercial intentions);
  • actively making use of Huatai Securities’ leading position, distribution network and customer base in mainland China;
  • integrating on a global basis across many jurisdictions and regions, a successful and fully integrated international financial platform with innovative financial services solutions.

Huatai International operates as a holding company for consolidating all of the group’s cross-border businesses and companies under one umbrella, offering a truly unified and international business platform. In recognition of such international strength, the renowned international rating agency Standard and Poor’s has assigned Huatai International a “BBB+” rating (for long term) and “A-2” (for short-term).

Job Description

  • Portfolio Management: Manage the full lifecycle of FOF products across all risk profiles. Lead multi-asset allocation, manager selection, and portfolio construction based on robust macroeconomic research.
  • Quantitative Strategy: Integrate quantitative models into investment decisions. Build research frameworks for performance attribution and style exposure analysis.
  • Global Due Diligence: Execute standardized DD on onshore/offshore managers (leveraging a 1,000+ manager coverage base). Spearhead USD seed fund investments and build a premium offshore manager pipeline.
  • Institutional Solutions: Design tailored FOF allocation solutions for institutional clients (banks, pensions, family offices). Drive cross-border capital introduction and oversee product launches.
  • Risk & Strategy: Ensure strict adherence to cross-border regulations. Formulate mid-to-long-term strategies to drive product innovation and revenue growth.

Qualifications

  • Master’s degree or above in Finance, Economics, or related fields.
  • 10+ years of dedicated experience in FOF investment or asset allocation, with a proven track record across full market cycles.
  • Extensive network of public/private fund managers with deep due diligence expertise.
  • Mature, logically consistent investment methodology driven by strong research capabilities.
  • Excellent communication skills; must meet regulatory licensing requirements for fund practitioners.
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僱用形式
2026-10-03
薪酬
月薪 Monthly
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