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Job Location | London |
Education | Not Mentioned |
Salary | Competitive salary |
Industry | Not Mentioned |
Functional Area | Not Mentioned |
Job Type | Permanent,full-timeB |
The Portfolio & Index Implementation team is responsible for the successful implementation of the Bloomberg Portfolio and Risk Analytics as an enterprise platform for clients performance and risk requirements. PORT+ provides the ability for our usersto analyze a larger number of portfolios, more accurate analytics with custom pricing as well as an improved reporting workflow. Whats the role There is an exciting opportunity for a talented professional to join the buy-side Implementations team. You willbring in-depth knowledge and understanding of portfolio management and how PORT (or similar analytics) can be applied for such analysis. Working alongside with the PORT Sales Representative on qualified sales opportunities, you will be responsible for identifyingour clients requirements and demonstrating how PORT+ can meet those expectations. You will assist in driving the pre-sales workshops and proof-of-concepts to ensure that the prospects thoroughly understand our offerings as well as our plans to meet theirrequirements. You will need to generate a Client Engagement Document (CED) which will detail the post-contract deliverables. Upon contract signature, you will then be the lead Implementation Manager ensuring that the plan in the CED is executed accordingly.Well trust you to: Collaborate extensively with our PORT sales teams to ensure that we sell PORT+ to the meet clients requirements Collaborate across business units such as: PORT Product, Engineering as well as AIM Execute the agreed implementation planto ensure maximum satisfaction for new clients Provide detailed feedback from clients to product managers so we can improve our products Youll need to have: Proven strong subject matter expertise in portfolio analytics and indices, including performance attributionand/or risk analysis In-depth understanding of the workflows of portfolio managers/analysts as well as performance/risk team Strong Fixed Income and Derivatives knowledge and be quantitatively orientated Prior experiences in project management Excellent communicationand presentation skills with a keen attention to detail Ability to play a constructive role in a fast-paced growth environment with strong multi-tasking abilities Flexibility to travel when required We would love to see: Additional professional qualificationssuch as CFA/CIPM/FRM/PRM will be preferred Strong Buy-side workflow understanding, including Order Management Systems (AIM) knowledge and understanding is a plus If this sounds like you: Apply if you think were a good match. Well get in touch with you tolet you know the next steps but in the meantime feel free to browse this: https://professional/portfolio-risk-analytics/ We are an equal opportunity employer and value diversity at our company. We do not discriminate on the basis of race, religion, colour,national origin, gender, sexual orientation, age, marital status, veteran status, or disability status.