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TD

Collateral Management Analyst

TD

Collateral management analyst mitigating counterparty credit risk for TD Securities, a global financial institution. Monitoring portfolios, managing collateral calls, resolving disputes, and improving controls.

Posted 8/21/2026full-timeToronto • 🇨🇦 CanadaMid-LevelSenior💰 CA$69,700 - CA$98,400 per yearWebsite

Core Competencies

Role fit
Core Competencies

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Demonstrates expertise in monitoring client portfolios and managing counterparty credit risk while ensuring compliance with Global Short-term Markets Policy. Proficient in process reengineering to enhance operational efficiency and mitigate risks.

Highest-signal resume keywords
Client Portfolio MonitoringCounterparty Credit Risk ManagementProcess ReengineeringCommunication SkillsControl Functions

ATS Keywords

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Applicant Tracking System Keywords

Tip: use these terms in your resume and cover letter to boost ATS matches.

Hard Skills
Collateral ManagementMargin Ticket EntryRepo Collateral ReconciliationRisk MitigationOperational Efficiency Improvement
Soft Skills
Proactive ApproachInterpersonal SkillsProblem-Solving
Tools & Technologies
Collateral System
Industry Keywords
Derivative ProductsSecurity ProductsLegal AgreementsCapital-Markets RiskGlobal Short-term Markets Policy

About the role

Key responsibilities & impact
  • Monitor client portfolios daily
  • Issue and receive collateral calls to mitigate the firm’s credit risk
  • Enter margin tickets accurately into the collateral system
  • Interact extensively with clients
  • Conduct process reviews in accordance with Global Short-term Markets Policy
  • Resolve and escalate collateral issues
  • Reconcile repo collateral statements upon margining disputes
  • Contribute ideas to add value to the group
  • Stay abreast of capital-markets risk issues and assess impacts on exposures
  • Identify opportunities to increase operational efficiency and reduce operational risk through process reengineering
  • Perform control functions to ensure process integrity
  • Promote a respectful work environment and adhere to Bank policies and guidelines

Requirements

What you’ll need
  • Strong communication skills
  • Proactive approach to risk mitigation
  • Ability to monitor and manage counterparty credit risk
  • Ability to identify inefficiencies and risks and implement improvements
  • Knowledge of derivative and security products, legal agreements, technology flows, and regulations
  • Ability to interact with clients and cross-functional areas including credit, middle office, legal, front office, settlements, and corporate treasury
  • Ability to perform control functions and ensure process integrity
  • Ability to comply with Global Short-term Markets Policy and Bank policies and guidelines

Benefits

Comp & perks
  • Base salary
  • Variable compensation
  • Health and well-being benefits
  • Savings and retirement programs
  • Paid time off
  • Banking benefits and discounts
  • Career development
  • Reward and recognition programs
  • Regular career, development, and performance conversations
  • Online learning platform
  • Mentoring programs
  • Training and onboarding sessions
  • Interview accommodations, including accessible meeting rooms and captioning for virtual interviews