S&P Global

Buy Side Risk - Product Analyst

S&P Global

London, UK
Full-TimeDepends on ExperienceSenior LevelMasters
Job Description

Are you a driven and analytical individual with a passion for the financial industry? Do you have a deep understanding of buy side risk management and a keen eye for detail? If so, we invite you to join our team at S&P Global as a Buy Side Risk - Product Analyst. In this role, you will play a critical role in developing and enhancing our risk management products for buy side clients. Your expertise and insights will be crucial in helping our clients navigate the complex world of risk management. We are seeking a highly motivated individual with a strong background in finance and risk management, who is eager to make an impact and grow within our dynamic organization. If this sounds like you, we would love to hear from you!

  1. Conduct market research and analysis to identify the needs and preferences of buy side clients in relation to risk management products.
  2. Collaborate with cross-functional teams to develop and enhance risk management products for buy side clients.
  3. Gather and analyze data to assess the effectiveness and performance of existing risk management products.
  4. Utilize industry knowledge and expertise to identify potential risks and recommend solutions to mitigate them.
  5. Monitor market trends and competitor offerings to ensure our risk management products remain competitive and relevant.
  6. Develop and maintain relationships with key buy side clients, providing them with expert insights and support.
  7. Create and deliver presentations and training sessions to educate buy side clients on our risk management products and their benefits.
  8. Assist in the development and implementation of marketing strategies to promote our risk management products to buy side clients.
  9. Work closely with sales teams to identify potential opportunities for new business and provide support in client meetings.
  10. Continuously gather feedback from buy side clients and use it to drive product improvements and enhancements.
  11. Keep up-to-date with industry regulations and changes in the financial landscape, ensuring our risk management products remain compliant.
  12. Mentor and train junior team members on risk management principles and product development processes.
Where is this job?
This job is located at London, UK
Job Qualifications
  • Bachelor's Degree In Finance, Economics, Or A Related Field

  • 2-3 Years Of Experience In Risk Management Or Product Analysis At A Buy Side Firm Or Financial Institution

  • Strong Understanding Of Financial Markets, Investment Products, And Risk Management Principles

  • Experience With Risk Management Software And Tools, Such As Bloomberg Or Msci Barra

  • Excellent Analytical And Problem-Solving Skills, With The Ability To Interpret Complex Data And Communicate Insights Effectively.

Required Skills
  • Risk Management

  • Financial Reporting

  • Data Analysis

  • Market Research

  • Financial Modeling

  • Quantitative Analysis

  • Risk Analysis

  • Portfolio Management

  • Market trends

  • Product evaluation

  • Investment Strategies

  • Scenario

Soft Skills
  • Communication

  • Conflict Resolution

  • Emotional Intelligence

  • Leadership

  • Time management

  • creativity

  • Critical thinking

  • Teamwork

  • Adaptability

  • Problem-Solving

Compensation

According to JobzMall, the average salary range for a Buy Side Risk - Product Analyst in London, UK is between £50,000 and £70,000 per year. However, this can vary depending on factors such as the specific company, experience level, and additional bonuses or benefits.

Additional Information
S&P Global is an Equal Opportunity Employer. We celebrate diversity and are committed to creating an inclusive environment for all employees. We do not discriminate based upon race, religion, color, national origin, sex, sexual orientation, gender identity, age, status as a protected veteran, status as an individual with a disability, or other applicable legally protected characteristics.
Required LanguagesEnglish
Job PostedJuly 22nd, 2024
Apply BeforeJune 9th, 2026
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About S&P Global

S&P Global, Inc. provides ratings, benchmarks, analytics and data to the capital and commodity markets worldwide. . The capital markets include asset managers, banks, exchanges, issuers and financial advisors; the commodities markets include producers, traders and intermediaries within energy, metals and agriculture. It operates through the following segments: : Standard & Poor's Ratings, S&P Capital IQ, S&P Dow Jones Indices and Commodities & Commercial.

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