Fixed Income Portfolio Analytics and Risk Business Manager
Company:
Bloomberg (USA)
Location:
New York, NY, 10022
Compensation:
Competitive Salary
Position Type:
Employee
Employment type:
Full time
Updated:
17 Nov 2008
eFC Ref no:
464749
Bloomberg LP, the leading global provider of data, news and analytics is looking for a looking for a passionate, experienced individual to join the Portfolio and Risk Analytics Business, focusing on fixed income.
The Company Bloomberg LP is the leading global provider of financial data, news and analytics. The BLOOMBERG PROFESSIONAL service and Bloomberg's media services provide real-time and archived financial and market data, pricing, trading, news and communications tools in a single, integrated package to corporations, news organizations, financial and legal professionals and individuals around the world.
The Role Bloomberg is looking for a passionate, experienced individual to join the Portfolio and Risk Analytics Business, focusing on fixed income. This individual will be part of an exciting new revenue generating business focusing on strategic development of tools designed for Portfolio Managers and Buy-side Analysts. This multi-asset solution, fully integrated with the power of the core Bloomberg terminal, will formulate the definitive desktop for the Buy-side community.
Qualifications -Minimum of 5 years experience working with Fixed Income securities, ideally as either a Bloomberg customer or with a competing vendor - In depth understanding of the portfolio analytic tools used by the fixed income buy-side community - Understanding of the insurance and commercial banking business as it relates to asset liability management (a plus) - Strong industry contacts in the fixed income space - Strong organization and communication skills