Collateral Risk Manager

4 days ago


London, Greater London, United Kingdom Paritas Recruitment Full time
About the Role

Paritas Recruitment is seeking a highly skilled Collateral Analyst to join our client's Treasury function on a 12-month fixed-term contract basis.

The successful candidate will be responsible for daily collateral management, reviewing counterparty margin levels, reconciling counterparty pricing and initial margin across multiple asset classes, producing collateral analytics, and managing relationships with external brokers and key internal stakeholders.

This role is ideal for someone looking to gain a broad view of a successful fund and its diverse range of products and trading strategies.

Key Responsibilities:

  • Collateral management and monitoring
  • Counterparty risk assessment and management
  • Collateral analytics and reporting
  • Relationship management with external brokers and internal stakeholders

Requirements:

  • Experience working within the financial services sector
  • Strong knowledge of collateral management and counterparty risk
  • Excellent analytical and communication skills

We are looking for a highly motivated and detail-oriented individual who can work effectively in a fast-paced environment. If you have a strong background in collateral management and are looking for a new challenge, please apply for this exciting opportunity.



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