Jobs · Marketing · New Jersey

Product Manager- Funds & Index Analytics

Bloomberg · Princeton, NJ · 6 days ago
On-siteMarketingFull-time

Description & Requirements

Funds and indices sit at the heart of the Bloomberg ecosystem and are used by a wide range of market participants, including portfolio managers, fund selectors, strategists, and data consumers. As client workflows become more analytical, automated, and API-driven, Bloomberg has a significant opportunity to expand how funds and index analytics are delivered across the Terminal, Enterprise Data, and AI-powered experiences.

We are looking for a Product Manager to lead Bloomberg’s holdings-based analytics strategy for funds and indices. This includes analytics that rely on the underlying holdings of a fund or the constituents of an index, such as OAS or KRD for fixed income indices, factor exposures for equity funds, valuation metrics such as P/E ratio, risk measures, characteristics, attribution, and scenario analytics. Bloomberg already has a deep set of analytics in this space. This role will focus on making those analytics consistently available at the fund and index level through scalable services and APIs, while ensuring alignment with key Bloomberg functionality such as Portfolio Analytics (PORT), Factors, Enterprise Data, and AskB.

Translate client and business needs into clear product direction, requirements, and prioritization

You will help define how these analytics are modeled, accessed, explained, and distributed to clients across Bloomberg’s product ecosystem. You will partner closely with Engineering, Data, Enterprise, and Product teams to deliver scalable analytics capabilities aligned with infrastructure and migration initiatives.

Ensure analytics are delivered consistently across user interfaces, APIs, data products, and AI-driven workflows

You will define success metrics and measure impact through adoption, client engagement, data usage, and commercial outcomes.

Define product strategy, make prioritization decisions, and execute in ambiguous, cross-functional environments

You will have 7+ years of product management or equivalent experience in financial data, analytics platforms, portfolio analytics, or complex financial workflows. Strong knowledge of holdings-based analytics, including characteristics, factor exposure, performance, attribution, scenario analysis, and ex-ante or ex-post risk. Experience with equity and/or fixed income analytics, with the ability to work across asset classes. A strong understanding of fund selection, portfolio analysis, or index analytics workflows. Experience working with data systems, APIs, data modeling, or analytics platforms. Ability to operate across technical and business domains, partnering effectively with Engineering, Data, Sales, and Product stakeholders. Proven ability to define product strategy, make prioritization decisions, and execute in ambiguous, cross-functional environments.

Technical fluency, strong judgment, and a pragmatic problem-solving mindset

We'd love to see familiarity with Bloomberg Terminal (especially Funds and Portfolio tools) or similar platforms. CFA or similar designation. Clear written and verbal communication skills, with the ability to explain complex concepts simply.

Salary Range

$140,000 - $295,000 USD Annual + Benefits + Bonus

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