Responsible for the daily collateral positions (cash and bonds) across the entire portfolio of clients. The candidate will be responsible for ensuring Internal and External relationships are maintained, ensuring daily controls are conducted and all ensure regulatory requirements are met.
Main Duties
Work in Collateral Management in multiple capacities. Will be needed to back up key areas in both groups.
- Understand and monitor risk
- Oversee the bilateral margining process to minimize risk whilst providing high levels of client service
- Key escalation point for Bilateral Margin team and main point of contact for internal and external stakeholders
- Ownership of Key Performance Indicators
- Instruct settlement on collateral (cash & securities) trades
- Investigation and resolution of margin call disputes, involving interaction with various internal areas (Front Office, Legal, Credit Risk Management and Operations)
- Cross train on all functions and product coverage performed within the team
- Contribute to the specification and testing of improvements to all systems used
- Participation in key industry initiatives, constantly striving to push the team forward.
Candidate should be coming from
- Collateral Management and/or Risk Management
- Familiarity with the Securities / Repo markets
- Proficient in using Excel (Pivot tables, macros)
Should be open to work in night shifts
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