Fixed Income Business Analyst (Fixed Income Business Analysis Performance Attribution Risk Quantitative Research Portfolio Management System PMS Analysis Credit Rates Buy Side Buy-Side Trading Applications Front Office Fixed Income Bonds Derivatives Finance Asset Manager Investment Management Hedge Fund Data Feeds SQL Python Agile POINT PORT BI-SAM Aladdin) required by our asset management client in London. You MUST have the following: Strong experience as a Fixed Income Business Analyst A good understanding of fixed income- corporate and government bonds and loans (credit/rates) Strong buy-side experience Familiarity with buy-side fixed income performance products such as POINT, PORT, BI-SAM or Aladdin Excellent ability to work with stakeholders from the business and technology The following is DESIRABLE, not essential: Python or SQL Role: Fixed Income Business Analyst (Fixed Income Business Analysis Performance Attribution Risk Quantitative Research Portfolio Management System PMS Analysis Credit Rates Buy Side Buy-Side Trading Applications Front Office Fixed Income Bonds Derivatives Finance Asset Manager Investment Management Hedge Fund Data Feeds SQL Python Agile POINT PORT BI-SAM Aladdin) required by our asset management client in London. You will be working in a central front office research space dedicated to supporting portfolio managers in their investment decisions. The company is aggressively seeking to increase their fixed income AUM and, as such, need to research more complex fixed income products in order to broaden their investments. You will be hired to collaborate with the portfolio managers and understand their requirements for the new analytical tools that will be built by this team. You will document the requirements, collaborate with the engineers over their delivery and conduct UAT to ensure the functionality is in line with the requirements. You will have a strong understanding of fixed income within the buy side. As much exposure as possible over the following would be beneficial: fixed income attribution, risk, quantitative analytics and portfolio management. They trade everything under fixed income from credit to rates, ABS and exotic OTC's. The more you know the better. Any knowledge of SQL or Python is beneficial but not essential. Hybrid working is 2 days/week. Hours are 9-5 but flexible. Company based in The City. Salary: £70-110k 10% Bonus 10% Pension