Opportunity

Collateral Manager, Investment Bank

London, hybrid working

 

  • To provide Subject Matter Expertise in the Securities Financing and collateral industry, as well as system and process expertise with the securities industry.
  • Calculate and make correct bilateral margin calls on repo portfolio, and receive / agree bilateral repo margin calls.
  • Provide effective management of the collateralisation performed by tri-party agents, as well as bilateral counterparties within the stock borrowing business of the Repo Desk.
  • Review Monthly Brokerage Statements for Repo Business.
  • Coverage for London Derivatives Collateral Management.

Candidates will need:

  • Excellent knowledge of Repo and Stock Borrowing industry
  • Working knowledge Legal documentations
  • Working knowledge of collateral margining process & settlement of collateral
  • Quantitative and reasoning skills
  • Understanding of macroeconomic theory and its application to financial markets
  • Strong communication and interpersonal skills.

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