About the role
- Manage daily collateral processes including EOD checks, margin calls, and credit risk oversight.
- Oversee the offshore team’s output, manage exceptions, and ensure process consistency and quality.
- Identify and drive improvements across OTC and Prime Margin workflows.
- Work closely with Technology, Credit Risk, and Operations (onshore and offshore) to resolve issues and enhance efficiency.
- Produce BAU and ad hoc reporting; deep-dive into data to identify trends or risks.
- Free up senior team members by managing operational workloads and supporting global platform initiatives.
- Support steering committee preparation; escalate issues appropriately to manage operational risk.
Requirements
- 5–8 years’ experience in Collateral Management / Margin Operations at a major dealer or tier-one bank.
- Strong working knowledge of OTC derivatives and Prime / Cross-Margin / Repo products.
- Understanding of operations and middle office functions.
- Experience managing or coordinating with offshore teams.
- Excellent stakeholder management and communication skills; comfortable escalating issues and engaging across functions.
- Proactive, resilient, and confident — able to get involved quickly and add value in a fast-moving environment.
- Previous experience at large dealers is advantageous.
- Salary: To be discussed
- Length: Initial 6-month contract, with a view to a longer term extension
- Start Date: ASAP
Applicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard skills
Collateral ManagementMargin OperationsOTC derivativesPrime Margin productsCross-Margin productsRepo productsData analysisReportingOperational risk managementProcess improvement
Soft skills
Stakeholder managementCommunicationProactiveResilientConfidentTeam managementProblem-solvingCollaborationAdaptabilityEngagement