Posted By
Posted in
Banking & Finance
Job Code
276850
Role :
- Collateral Management's principal function is risk mitigation in which the team's primary role is to aggregate and manage the bank's exposure across its entire collateralized portfolio.
- The group is tasked with minimizing Bank's counter-party credit exposure via the use of collateralize, acting on margin terms which are dictated in the various margin agreements, while providing superior service to our clients.
- Margin Management, New business on-boarding into Margining systems, Asset movements between systems, Disputes Resolution and Portfolio Reconciliation are the key functions performed within the Global Collateral Management group.
Experience/Exposure : 10+ Years Work Experience
- Relevant experience in one or more specific operations/technical/product areas
- Product and End-to-End system knowledge in the product line
- Expert-level analytical skills, flexible regarding production problem solving
- Excellent communication skills, fluent in English and local language (written/verbal) as appropriate
- Excellent team leader, able to work in virtual global teams and a matrix organization
- Ability to work in fast paced environment, keep pace with technical innovation and maintain a broad understanding of the GBS offering
- Open minded, able to share information, knowledge and expertise with peers & team members
- Experience in managing system outages and follow-up actions from an Operations perspective
- Ability to effectively manage market / operations / people crisis situations
Education : Finance/accounting graduate, with either professional certifications (CPA, CFA, CA) or MBA/master's degree with a concentration in finance or accounting
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Posted By
Posted in
Banking & Finance
Job Code
276850