Collateral Analyst - Leading Asset Manager - Flexible Working
An exciting opportunity has arisen for a Collateral Management Specialist to join a leading asset management firm. The role involves managing daily margining requirements across bilateral OTC, ETD, Repo, PBA counterparties, OTC Clearing Brokers, Clearing Houses, and multiple Custodians. You will oversee all aspects of collateral management and reconciliation while providing internal and external client support.
As the Collateral Management SME, you will refine and challenge controls, minimise risk, and enhance Key Risk Indicators and Management Information reporting. A proactive mindset is essential to drive efficiencies and process improvements. You will also play a key role in collateral-related projects and workstreams.
Responsibilities:
1. Manage daily margining requirements across various counterparties.
2. Oversee all aspects of collateral management and reconciliation.
3. Provide internal and external client support.
4. Refine and challenge controls to minimise risk.
5. Enhance Key Risk Indicators and Management Information reporting.
6. Drive efficiencies and process improvements.
7. Participate in collateral-related projects and workstreams.
Minimum Requirements:
1. Minimum of three years' experience in collateral management.
2. Strong knowledge of margining across multiple products.
3. Proficiency in MS Office, particularly Excel (Macros beneficial).
4. Experience with Arcadia, Tri-Resolve, and SimCorp Dimension.
5. Solid understanding of global collateral regulations (UMIR, SFTI, EMIR, MIFID, UMR).
6. Experience in ETD, Repo, and Clearing margining.
7. Stock Lending knowledge is an advantage.
Salary: £65,000 - £75,000 DOE, with a generous bonus and benefits package, alongside a flexible working model.
Seniority Level
Associate
Employment Type
Part-time
Job Function
Finance and Sales
Industries
Staffing and Recruiting
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