Description
Bring your expertise to a rapid-paced operations team where precision and ownership help protect clients and the firm.
As a Margin & Collateral Analyst within Collateral Management Operations, you ensure collateral margin calls are exchanged within agreed timelines. You deliver timely receipt and delivery of collateral transactions while monitoring movements and valuations. You identify, address, and escalate issues promptly, partnering with clients and internal teams to meet regulatory requirements and internal policies.
Job Responsibilities:
Ensure collateral margin calls are exchanged within agreed timelines
Ensure timely delivery and receipt of collateral transactions
Monitor collateral movements and valuations, identifying and resolving discrepancies promptly
Identify, address, and escalate issues promptly based on risk understanding
Develop and maintain strong client relationships, addressing collateral inquiries and concerns
Coordinate with trading, risk management,
and legal teams to support regulatory requirements and internal policies
Identify opportunities for process improvements and automation to enhance efficiency and accuracy
Required qualifications, skills, and capabilities:
Solid technical skills with detailed understanding of the trade life cycle
Detailed understanding of derivatives products and collateral management
Excellent verbal and written communication skills
Solid understanding of risk with ability to identify, address, and escalate issues promptly
Strong attention to detail when monitoring valuations and collateral movements
Preferred qualifications, skills, and capabilities:
Ability to provide training and support to team members to promote continuity in day-to-day practices
Ability to stay updated on industry developments, regulatory changes, and best practices in collateral management