Job Title : Collateral Management
Experience : 6 to 8 Years
Location : Mumbai
Roles & Responsibilities
Manage daily margin calls for OTC, Repo, PB and MSFTA, including Variation Margin and Initial Margin.
Ensure timely process delivery and adherence to KPI, KRI and supervisory controls.
Handle process and technical escalations.
Build robust relationships with internal and external stakeholders.
Drive process improvements and automation initiatives.
Maintain and regularly review process documentation.
Review daily, weekly and monthly MIS and operational reports.
Ensure adequate cross-training and backup coverage within the team.
Support change management and system enhancement projects.
Requisites
Solid knowledge of Collateral Management and Margin Management.
Hands-on experience with OTC Derivatives, Repo, PB and MSFTA.
Good understanding of Variation Margin (VM) and Initial Margin (IM).
Experience in margin call processing, reconciliation and exception management.
Knowledge of KPI/KRI, operational controls and risk management.
Strong stakeholder management and escalation-handling skills.
Experience in MIS reporting and process documentation.
Strong analytical and problem-solving skills.
Positive communication and team coordination skills.
Ability to work under pressure and manage multiple priorities.
📌 Collateral Management Mumbai
🏢 Nomura
📍 Mumbai