Position Overview:
Our client, a mid-size investment bank, is seeking to hire a Collateral & Futures Operations Executive to join their dynamic team. This role will be integral to managing daily margin calls, optimizing collateral usage, and ensuring operational efficiency across various products.
Key Responsibilities:
- Manage daily margin calls and optimize collateral usage.
- Resolve breaks and disputes in a timely and efficient manner.
- Liaise with key stakeholders, including sales, trading desks, and reporting teams, to innovate and streamline processes.
- Enhance product coverage and improve operational efficiency.
- Ensure the integrity and accuracy of margining operations, contributing to the firm's growth and success in the competitive investment banking sector.
Key Requirements:
- Previous experience in a similar role within investment banking or financial services.
- A strong understanding of collateral management & margining processes
- Proficiency in relevant market products, including OTC, Repo, and Futures.
- Strong problem-solving and analytical skills, with the ability to resolve disputes and process breaks effectively.
- Excellent communication skills to liaise with various teams across the bank.
- Attention to detail and ability to handle high-pressure situations.