Used Tools & Technologies
Not specified
Required Skills & Competences
Tag name is followed by "@" symbol and proficiency level value.
About proficiency levels:
- 1-2 — basic awareness. Minimal hands-on experience, and a rudimentary understanding of the technology's purpose;
- 3-6 — daily use. Comfortable and regular usage, capable of handling common tasks and challenges related to the technology;
- 7-9 — you are an expert, you can teach others, you know all the pitfalls and tricks;
- 10 — exceptional knowledge, comprehensive understanding, and adeptness in all aspects of the technology, including advanced problem-solving. Think twice before claiming or demanding such level.
Python @ 3
Leadership @ 3
Communication @ 3
Prioritization @ 5
- 1-2 — basic awareness. Minimal hands-on experience, and a rudimentary understanding of the technology's purpose;
- 3-6 — daily use. Comfortable and regular usage, capable of handling common tasks and challenges related to the technology;
- 7-9 — you are an expert, you can teach others, you know all the pitfalls and tricks;
- 10 — exceptional knowledge, comprehensive understanding, and adeptness in all aspects of the technology, including advanced problem-solving. Think twice before claiming or demanding such level.
Details
Bloomberg is a global leader in business and financial information, news, and insight. We use innovative technology to deliver trusted data and bring transparency to the financial markets. Our customers rely on us for the tools and information they need to make critical investment decisions and stay connected across the financial community.
Bloomberg’s Multi-Asset Risk System (MARS), together with derivatives data and valuation services (BVAL OTC), delivers a comprehensive suite of risk management tools that provide consistent, consolidated views of risk across the enterprise. As part of Bloomberg’s Enterprise Relationship Services (ERS), this role offers a premium, high-touch service model designed to help clients maximize the value of Bloomberg’s risk solutions.
Responsibilities
- Act as a primary point of contact for strategic ERS clients, delivering a high-touch, consultative experience
- Build trusted relationships across client organizations and provide tailored guidance on risk workflows and best practices
- Proactively identify client needs and deliver solutions across chat, tickets, calls, and on-site engagements
- Develop deep expertise in MARS, BVAL OTC, and related workflows across asset classes
- Translate market developments and regulatory changes into actionable client insights
- Serve as a subject matter expert to help clients interpret complex risk analytics and implement best practices
- Partner with Sales to support revenue generation by identifying expansion opportunities and contributing to client engagements
- Provide structured client feedback and market intelligence to Product and Engineering teams to influence roadmap prioritization
- Lead onboarding of new workflows and use cases and improve efficiency and service quality through scalable solutions
- Manage client communications during incidents or escalations
- Lead client training sessions, workshops, and strategic reviews
Requirements
- 4+ years of experience in Financial Services or a Financial Technology company
- Experience with derivatives (buy-side, sell-side, or vendor supporting derivatives market data or risk analytics)
- Proven ability to build relationships across technical users, traders, product managers, and senior leadership
- Strong product, technical, and market knowledge, with ability to apply this in a client-facing environment
- Excellent client service and communication skills
- Ability to contribute to product testing, implementation, and project-based work
- Strong prioritization and multitasking skills; proactive and collaborative mindset
- High energy, adaptability, and a solutions-oriented approach
- Demonstrated career progression and impact
- Strong presentation skills and ability to explain complex concepts clearly
- Bachelor’s degree or equivalent experience
We’d love to see
- Strong understanding of risk management practices and derivatives valuation
- CFA or FRM designation
- Experience with mortgages including MBS, CMBS, RMBS, TBAs, CLOs, and pools, and prepayment modeling
- Familiarity with regulatory frameworks such as FRTB, SIMM, and SA-CCR
- Interest in technology and experience in Python or other programming languages
- Prior experience using Bloomberg products
- Spanish fluency
Benefits
- Salary Range: 120000 - 150000 USD Annually + Benefits + Bonus
- Benefits may include merit increases, incentive compensation (exempt roles only), paid holidays, paid time off, medical, dental, vision, short and long term disability benefits, 401(k) + match, life insurance, and various wellness programs. The Company does not provide benefits directly to contingent workers/contractors and interns.