Mourad Mnif

Buy-side Solution Sales @Bloomberg

London, GB
MOBILE NUMBERS
+91 *********19

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WORK HISTORY

Jun 2020 — Present

Buy-side Solution Sales @Bloomberg

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City Of London, GB

Je fais partie de l\'équipe en charge de la commercialisation des solutions d\'analyses de portefeuille sur la région Europe du sud. Ma mission sera de promouvoir les solutions d\'analyse de performance et de risque (PORT Enterprise, Attribution Fixed Income, modèles de risque) auprès des sociétés de gestion en France, Belgique et Luxembourg.

EDUCATION

2010 — 2011

University of Paris I: Panthéon-Sorbonne

MSc in Banking and Finance, Finance, General

2009 — 2010

ETH Zürich

Exchange semester, Quantitative Finance

2006 — 2010

Ecole Nationale Supérieure des Mines de Nancy

Ingénieur Civil des Mines, Industrial Engineering and Operations Research

SKILLS

Portfolio ManagementFactsetHedge FundsFixed IncomeTradingInvestment BankingAsset ManagementFinancial ModelingFinancial MarketsAnalysisVbaValuationCorporate FinanceFinanceFinancial Analysis

ABOUT MOURAD MNIF

Experienced finance professional working at Bloomberg as a portfolio analytics specialist. Dynamic, result-driven and self-motivated, I provide in-depth knowledge in multi-asset class performance and risk calculation.7.5 years of previous experience at FactSet evolving from consultant role to Analytical Solutions sales with a focus on portfolio management, performance attribution and risk calculation for multi-asset class strategies (Equity, Fixed Income, Derivatives, Funds).* Acquired a very good understanding of the asset management industry and the financial markets.* knowledge of invesment workflows* Team-player and keen to share best practices with my peers.Graduate from Ecole des Mines de Nancy and from University Paris 1 - Panthéon Sorbonne. CFA charterholder since 2015.Lecturer of Fixed Income classes at Mediterranean School of Business in Tunisia - CFA level 1 preparation programMAIN ACHIEVEMENTS- Successfully implemented analytical solutions covering a large set of solutions: Derived data, portfolio analysis, multi-asset class risk- Managed the full sales cycle of A portfolio analysis solution for an asset manager: Solution pitch, proof-of-concept, trial, workshop with portfolio managers, commercial proposal, implementation, delivery of solution- Built a strong network in the finance ecosystem by attending conferences and workshops- Completed the CFA (Chartered Financial Analyst) program, a global certificate of finance and became an active member of CFA Society FranceSPECIALTIES- Asset Management workflows in portfolio management, performance attribution and risk calculation- Client services and sales of investment analytics tools- Solution pitch and design based on client requirements- Equity, Fixed Income and derivatives markets

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Mourad Mnif — Buy-side Solution Sales at Bloomberg in London, GB | Unifers