Job Description: Execution of equity and bond repo transactions, including pricing, documentation and internal approvals. Coordinate with sales, traders, risk teams and other internal stakeholders to conduct due diligence on repo transactions, including consideration of asset quality and counterparty risk. Promote the steady growth of customer assets by establishing relationships with customers through sales Conduct GMRA negotiations with counterparties, and coordinate transaction limits and repo operations with other internal stakeholders Monitor the group's overall foreign exchange risk exposure and hedging management Issuance and pricing of the group's medium-term notes Initiate and lead the execution of other cross-department projects Job Requirements: Degree holder or above in Finance, Economics or related disciplines Strong knowledge of bond markets, derivative markets and the swap markets Proven track record Good command of written and spoken English and Chinese including Putonghua CFA、FRM、CPA is more preferred