Collateral & Margin Management Associate

3 days ago


London, United Kingdom Celon Group Full time

We have an exciting opportunity for a talented and ambitious Collateral & Margin Management Associate to join a Tier 2 investment bank in the City.

This position is within the Traded Product Operations (TPO) team responsible for the Collateral Management and Margining, Portfolio Reconciliations and OTC Reporting under the various regulatory frameworks, covering global OTC derivatives, Repo, FX and Commodities.

With a focus on growing the client base and realising new opportunities you will be proactive and self-starting with the confidence and capability to represent the team within project meetings and drive forward new initiatives and opportunities.

**Key Responsibilities**:

- Daily margining of counterparties
- Monitoring counterparty exposures and collateral to be received or posted
- Management of Portfolio Reconciliations under the various regulations - DF, EMIR
- Contribute to the preparation of daily, weekly & monthly statistics
- Working with the various businesses and operation areas to seek out new opportunities
- Roll Out various new Regulatory & Business requirements - IM, Seg VM, MarginSphere
- Keep abreast of the latest market developments and practices within Collateral Management
- A strong understanding of controls and daily reconciliations, ensuring all exceptions are followed up/resolved/escalated in a timely manner with adequate audit trails

**Essential Skillset**:

- Collateral Management - minimum 3 years’ experience in Collateral Management (including repo products) & Derivative products
- Client and Stakeholder engagement - delivery of exceptionally high levels of client service and strong stakeholder management skills with proven experience of initiating action and committing to achieving business outcomes
- Team and Culture - fostering a positive, inclusive, collaborative team culture by maintaining open professional communications and being a team player.
- Productivity and Efficiency - self-starting, comfortable with and adaptable to change and active contribution to a culture of continuous improvement.
- Risk Mindset - proactively identify and understand, plus openly discuss and act on current and future risks
- Effective Communication - exceptionally strong written and oral communication skills across all levels of seniority, internal and external stakeholders and clients

**Desirable Qualifications and Skillset**
- Tertiary qualifications in a finance discipline



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