Buyside Risk Sales Specialist – UK & Ireland London, GBR Posted today

Buyside Risk Sales Specialist – UK & Ireland London, GBR Posted today

Full-Time 60000 - 80000 £ / year (est.) Home office (partial)
Bloomberg L.P.

At a Glance

  • Tasks: Drive growth in risk analytics by collaborating with top investment firms.
  • Company: Join Bloomberg, a leader in financial technology and analytics.
  • Benefits: Competitive salary, diverse workplace, and opportunities for professional growth.
  • Other info: Work with global teams and engage with senior decision-makers.
  • Why this job: Tackle complex risk challenges and influence the future of finance.
  • Qualifications: Experience in risk management and strong analytical skills required.

The predicted salary is between 60000 - 80000 £ per year.

Our Team Bloomberg’s Portfolio & Risk Analytics business delivers some of the industry's most sophisticated risk management, valuation, and investment analytics solutions to leading asset managers, pension funds, insurers, hedge funds, and sovereign institutions around the world. Built on Bloomberg’s market-leading pricing engines, derivative libraries, and data infrastructure, our solutions help investment professionals value complex instruments, measure market and counterparty risk, satisfy evolving regulatory requirements, and make better portfolio decisions in real time.

As buy-side firms face increasing pressure to manage risk across more asset classes, larger data sets, and increasingly complex investment strategies, Bloomberg is uniquely positioned to provide an integrated, enterprise-wide solution spanning portfolio analytics, risk management, valuation, and investment workflows.

What's the Role? We are seeking a highly collaborative and technically sophisticated Buyside Risk Specialist to drive the growth of Bloomberg’s Portfolio & Risk Analytics franchise across the UK & Ireland. This is a unique opportunity to sit at the intersection of financial markets, quantitative analytics, and enterprise technology. You will partner with some of the world's largest and most sophisticated investment firms, helping them solve complex challenges across multi-asset risk management, derivatives analytics, valuation, and regulatory oversight. Acting as a trusted advisor throughout the sales lifecycle, you will lead technical engagements, uncover client requirements, design workflow solutions, and demonstrate how Bloomberg’s analytics platform can address some of the most demanding risk management challenges in the industry. You will work closely with Sales, Product, Engineering, Research, and Account Management teams globally, serving as both a market-facing specialist and a strategic voice for our clients. Your insights will directly influence product development and help shape the future direction of Bloomberg's risk solutions.

We’ll Trust You To:

  • Lead Strategic Client Engagements – Develop relationships with senior risk managers, CROs, quantitative teams, portfolio managers, and operational stakeholders across leading buy-side institutions.
  • Drive Technical Sales Excellence – Lead technical discovery sessions, workflow analysis, proof-of-concepts, and deep-dive demonstrations across Bloomberg’s portfolio risk, derivatives analytics, and valuation solutions.
  • Accelerate Business Growth – Partner with regional sales teams to identify opportunities, articulate the value of Bloomberg's risk platform, and drive commercial success across the UK & Ireland market.
  • Solve Complex Risk Challenges – Understand client investment processes, technology environments, and risk frameworks in order to design solutions that address sophisticated business and regulatory requirements.
  • Influence Product Strategy – Act as a key conduit between clients and Bloomberg’s Product, Engineering, and Research teams by communicating market trends, competitive intelligence, and client feedback that helps shape future product development.
  • Champion Bloomberg’s Enterprise Risk Vision – Collaborate closely with Risk & Performance Sales, AIM, Core Sales, and other Bloomberg teams to position a holistic solution across the investment management workflow.

You’ll Need To Have:

  • Strong expertise in investment risk management, derivatives, and cross-asset valuation methodologies.
  • Deep understanding of buy-side investment workflows and the requirements of risk, valuation, and middle-office functions.
  • Experience in a client-facing role such as technical sales, pre-sales engineering, risk consulting, financial engineering, product specialist, or risk management.
  • Knowledge of enterprise risk frameworks and regulatory requirements, including UCITS and AIFMD.
  • Strong analytical and quantitative problem-solving capabilities.
  • The ability to communicate complex financial and technical concepts clearly to both quantitative practitioners and senior decision-makers.
  • Proven ability to build credibility with sophisticated institutional investors.
  • Excellent collaboration skills and the ability to operate effectively across global, cross-functional teams.
  • Willingness to travel throughout the region to meet clients and prospects.

We'd Love To See:

  • Experience working with portfolio risk analytics, enterprise risk management, derivatives analytics, or valuation platforms.
  • Familiarity with Bloomberg MARS or comparable risk management solutions.
  • Professional qualifications such as FRM, CQF, CFA, or equivalent.
  • A degree in Finance, Economics, Mathematics, Engineering, Physics, Computer Science, or another quantitative discipline.
  • Curiosity about emerging trends in risk management, analytics, and financial technology.

Why Bloomberg? This role offers the opportunity to work on some of the most complex risk and investment challenges facing the industry today. You will engage directly with senior decision-makers at globally significant investment firms, represent market-leading analytics technology, and help shape the next generation of Bloomberg’s risk solutions. Bloomberg is an equal opportunity employer and we value diversity at our company. We do not discriminate on the basis of age, ancestry, color, gender identity or expression, genetic predisposition or carrier status, marital status, national or ethnic origin, race, religion or belief, sex, sexual orientation, sexual and other reproductive health decisions, parental or caring status, physical or mental disability, pregnancy or parental leave, protected veteran status, status as a victim of domestic violence, or any other classification protected by applicable law. Bloomberg is a disability inclusive employer. Please let us know if you require any reasonable adjustments to be made for the recruitment process. If you would prefer to discuss this confidentially, please email amer_recruit@bloomberg.net.

Buyside Risk Sales Specialist – UK & Ireland London, GBR Posted today employer: Bloomberg L.P.

Bloomberg is an exceptional employer, offering a dynamic work environment in the heart of London where innovation meets collaboration. Employees benefit from extensive professional growth opportunities, working alongside industry leaders to tackle complex financial challenges while enjoying a culture that values diversity and inclusion. With access to cutting-edge technology and a commitment to employee well-being, Bloomberg empowers its team to make a meaningful impact in the world of finance.

Bloomberg L.P.

Contact Details:

Bloomberg L.P. Recruitment Team

StudySmarter Expert Advice🤫

We think this is how you could land Buyside Risk Sales Specialist – UK & Ireland London, GBR Posted today

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We think you need these skills to ace Buyside Risk Sales Specialist – UK & Ireland London, GBR Posted today

Investment Risk Management
Derivatives Analytics
Cross-Asset Valuation Methodologies
Client-Facing Experience
Technical Sales
Pre-Sales Engineering
Risk Consulting

Some tips for your application 🫡

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How to prepare for a job interview at Bloomberg L.P.

Brush Up on Financial Modelling

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Know Your Investment Strategies

Expect questions around different investment strategies and how you would apply them in various market scenarios. Get ready to discuss current market trends and how they impact portfolio management. This shows you're not just about the theory but also keeping an eye on real-world applications.

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Discuss Your Long-Term Career Goals

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