Description
Bloomberg PORT Risk and Performance Analyst (Front Office Risk Management Bloomberg PORT Portfolio Analysis SQL Fixed Income Bonds Derivatives Python Asset Manager Investment Management Finance Trading) required by our asset management client in London.
You MUST have the following:
- Experience with Bloomberg PORT
- Advanced ability to work with portfolio managers, quants or risk analysts
- Knowledge of Fixed Income products
- Basic SQL ability
The following is DESIRABLE, not essential:
- Risk scenario stress testing
- Exotic Fixed Income products
- Python
Role: Bloomberg PORT Risk and Performance Analyst (Front Office Risk Management Bloomberg PORT Portfolio Analysis SQL Fixed Income Bonds Derivatives Python Asset Manager Investment Management Finance Trading) required by our asset management client in London. You will join a rapidly growing global team of 8 that is responsible for the operational support and project work around Bloomberg PORT. The product is largely used for Fixed Income risk management. To this effect, you will be working with risk managers, quants and portfolio managers on day-to-day enquiries but also a number of projects around scenario analysis, stress testing and portfolio analysis.
A good knowledge of PORT is essential, as is work with Fixed Income products. Experience in risk and an ability in SQL or Python is a significant advantage.
Duration: 6-12 months
Rate: £/day