We have an urgent opening for the profile of General Manager - Collateral Operations (Hyderabad Locations)
Please find the below JD.
Individuals in this role will be responsible for the team that performs the following activities that is to identify, mitigate and manage counterparty credit risk and associated operational risks.
- The individual is expected to support global collateral operations and also liaise with senior stakeholders such as Risk Managers, Credit officers, Legal, Treasury and Trading/ Sales as necessary.
- The incumbent will be exposed to a wide ranging client portfolio covering banks, financial institutions, hedge funds and corporates.
- As a basic requirement associate is expected to have strong fundamentals of capital market operations and transaction lifecycle of collateral management across asset classes such as Interest Rates, Credit, Equities, Commodities and FX in the context of OTC, ETD, PB, Repo and SBL businesses.
- The collateral team has independent support groups operating within the function like Client Onboarding & Reference data, Pricing, Controls, portfolio reconciliations and valuations aligned to specifically serve the needs of the group apart from the core margining process for each of the business areas.
- Some of the processes operate under the scanner of the regional regulators, exchanges and clearing house which puts increased focus from the business, compliance and audit requiring individuals and team to meet the mandates without any error margins.
- Some of the key tasks are issuance and booking of Margin calls, Post Settlements break resolution, Nostro, Depot and Intersystem reconciliation, static data maintenance, Disputes management, EMIR and DF reporting's within each of the business lines and while working in an extremely high risk, time critical and dynamic atmosphere dealing with a broad spectrum of clientele with unique requirements.
Pratibha
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