A key role in the Market Operations Division managing daily margin calls, client reporting, and collateral optimization across various financial products. Ideal for professionals with experience in margining operations or middle office risk functions who can work collaboratively and efficiently under pressure.
Responsible for managing daily margin calls, client reporting, and collateral optimization across OTC, Repurchase Agreements (repo), Futures, and Clearing platforms. This role involves collaborating closely with sales, trading desks, and credit officers to innovate and streamline operational processes, ensuring financial stability and regulatory compliance.
Requires professionals with previous experience in Margining & Collateral Operations or key risk middle office functions. Candidates must demonstrate strong analytical skills, ability to investigate and resolve margin discrepancies, excellent time management, and the capacity to meet daily cut-offs for margin calls and client reporting.
Offers a dynamic work environment within a global financial services group, providing opportunities for professional growth, competitive benefits including hybrid working arrangements, wellbeing leave, comprehensive annual leave, and a supportive team culture that values diversity, continuous learning, and innovative problem-solving.