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Senior Product Analyst (Asset Management)

Cyprus, Limassol · Job Posted January 20, 2026
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Job Description

We’re looking for a Business Analyst with a strong buy-side background to help rethink and simplify professional investment workflows for millions of self-directed investors. At TradingView, we believe the best ideas from institutional finance - from portfolio theory to stock picking and performance analytics - should be available to everyone, not just professionals with access to legacy platforms. In this role, you’ll leverage your real-world experience in asset management and investment analysis to shape intuitive products, clear data views, and scalable investment tools. You’ll work closely with cross-functional teams to help us turn institutional-grade logic into accessible, engaging features for a broader audience.

Job Responsibility

  • Act as the financial domain expert in product teams - ensuring decisions are grounded in practical investment workflows
  • Help define requirements for tools and data views related to: Macro and cross-asset context, Asset allocation and rebalancing, Portfolio construction and tracking, ETF and mutual fund analysis, Holdings-level analytics, Performance evaluation and monitoring, Risk metrics and scenario analysis
  • Translate sophisticated investment logic into clear, user-friendly product specification
  • Collaborate with data and engineering teams on how to structure, calculate, and present various financial data
  • Conduct competitive analysis of platforms like Morningstar, Bloomberg, YCharts, and Koyfin - not to copy, but to rethink
  • Prioritize product work based on user value, education potential, and market differentiation
  • Participate in user interviews - especially with advanced retail investors and professional allocators
  • Help define how TradingView should evolve its investment toolkit to serve both emerging and experienced investors

Requirements

  • 5+ years of experience in asset management, wealth management, investment strategy, or buy-side research
  • Generalist mindset with exposure to multiple asset classes, portfolio construction methods, and real-world allocation decisions
  • Deep understanding of: Macro drivers and cross-asset relationships (e.g., rates, inflation, FX, risk-on/off regimes), Asset allocation and portfolio construction workflows (e.g., strategic/tactical allocation, model portfolios), Fund structures, exposures, and selection criteria (e.g., ETF composition, style, costs, benchmarks), Holdings-level data and position-level analysis (e.g., weights, contribution to return, overlap), Portfolio performance measurement and risk evaluation (e.g., returns, volatility, drawdown, Sharpe ratio)
  • Comfortable simplifying complex ideas for non-expert users, without losing depth or accuracy
  • Strong communicator who can work with designers, engineers, and PMs to bring data to life in product
  • Familiar with platforms like Morningstar Direct, Bloomberg PORT, LSEG Workspace, YCharts, or similar

Nice to have

  • Bonus: experience in building financial tools, dashboards, or screeners for end users (especially in fintech or SaaS)
  • Finance experience or knowledge of Trading
  • Knowledge of TradingView

What we offer

  • Flexible Working Hours
  • Hybrid Work Policy
  • Private Health Insurance
  • Performance Bonus
  • Work alongside experienced professionals and mentors offering ongoing training and growth opportunities
  • Premium TradingView Subscription
  • Annual Team Events
  • A comfortable, well-equipped workspace with exclusive perks like a gym and much more

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