Position Overview: Our client, a mid-size investment bank, is seeking to hire a Collateral & Futures Operations Executive to join their dynamic team. This role will be integral to managing daily margin calls, optimizing collateral usage, and ensuring operational efficiency across various products. Key Responsibilities: Manage daily margin calls and optimize collateral usage. Resolve breaks and disputes in a timely and efficient manner. Liaise with key stakeholders, including sales, trading desks, and reporting teams, to innovate and streamline processes. Enhance product coverage and improve operational efficiency. Ensure the integrity and accuracy of margining operations, contributing to the firm's growth and success in the competitive investment banking sector. Key Requirements: Previous experience in a similar role within investment banking or financial services. A strong understanding of collateral management & margining processes Proficiency in relevant market products, including OTC, Repo, and Futures. Strong problem-solving and analytical skills, with the ability to resolve disputes and process breaks effectively. Excellent communication skills to liaise with various teams across the bank. Attention to detail and ability to handle high-pressure situations.