Senior Analyst, Collateral Management (12-Month Contract)
$35 per hourTemporary
Our client, a leading Financial Institution, is seeking a Senior Analyst to join their Collateral Management team on a 12-month contract. This role is focused on supporting daily collateral operations, including margining activities, portfolio reconciliations, and issue resolution across a range of derivative products.
This is a hands-on position suited for someone who is comfortable operating in a fast-paced environment, can confidently communicate with internal stakeholders, and brings a strong understanding of collateral processes. The team is looking to add an experienced professional who can support day-to-day operations, perform reviews, and handle ad hoc inquiries with minimal supervision. ***This role is 3 days a week onsite
The Key Responsibilities include the following;
- Perform daily collateral management activities, including variation margin and initial margin calculations and calls
- Complete portfolio reconciliations and investigate/resolve breaks in a timely manner
- Support reviews and oversight of collateral processes to ensure accuracy and completeness
- Respond to internal and external stakeholder inquiries, providing clear and concise explanations
- Troubleshoot reconciliation and margin discrepancies, identifying root causes and implementing solutions
- Work with various counterparties across derivatives and repo products
- 3+ years of experience in collateral management or other capital market operations
- Strong knowledge of derivatives and repo products (mandatory)
- Solid understanding of collateral processes, including initial and variation margin
- Proven ability to troubleshoot and resolve breaks/issues independently
- Strong communication and presentation skills with a polished, professional presence
Vacancy posted more than 2 months ago
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