Job Description

Primary Responsibilities

 

  • Counterparty Exposure management for client investment management team.
  • Issue and respond to incoming margin calls as per the agreed deadlines for Cleared, Bilateral and Futures trades.
  • Troubleshoot problems arising on an ad-hoc basis and react to BU and Client driven demands.
  • Active follow up to with custody and counterparty to ensure collateral settlement.
  • Maintain a clear focus on enhancing control and continuously improving and reducing operational risks
  • Proactively explore tactical and strategic solutions to close identified control gaps, working with other groups as appropriate.
  • Work with multiple units in operations, BU and technology on projects and initiatives.
  • Interaction with clients daily regarding the OTC collateral process.

 

Skills required (essential)

 

  • Bachelor-s Degree.
  • 3+ years of relevant working experience.
  • Excellent command in English communication skills.
  • Good understanding of financial products, including equity/fixed income OTC derivative, FX products and basic knowledge of ISDA/CSA is a bonus.
  • Ability to work under pressure.
  • Attention to detail.
  • Escalation Awareness: ability to assess risk and exposure issues.
  • Ability to work with external clients to enhance the client experience.
  • Knowledge of Microsoft Office with a focus on Excel.