Description This role is a great opportunity for people interested in data analysis and working with clients. As a Stock Borrow Loan Collateral Analyst within The Stock Borrow Loan Middle Office Team, you will be responsible for managing the complete life cycle of Equity Borrow / Loan activity in the EMEA region. Your daily tasks will include liaising with external counterparties and traders. Additionally, you will handle regulatory reporting, client onboarding, and the management of both cash and stock collateral. Job responsibilities Performs daily collateral exposure management Manages counterparty relationships Supports the daily requirements of the Stock Borrow Loan Front Office Liaises with clients, counterparties and traders to investigate & resolve any trade exceptions Investigates of all key controls within the trade life-cycle Prepares daily metrics in relation to key risk and performance indicators Supports the regulatory reporting requirements. Supports the new and incremental client onboarding agenda, working with KYC, Legal and Credit team. Manages exception updates to management Required qualifications, capabilities, and skills Well motivated and enthusiastic Good communication skills and ability to develop good relationships with internal and external parties Highly numeric person with excellent attention to detail in all areas Ability to work in a pressurised environment, meeting tight deadlines on a daily basis Ability to work as a team player Strong Data analytics and accuracy Demonstrate understanding of how operations interacts with relevant businesses Ensure awareness of and compliance with relevant policies, controls, regulations and escalation protocols Proactively identify areas for improving process quality, control, and productivity. Build working level awareness of digital ops tools leveraging the Firm’s online and classroom training Proficient with excel