9 дней назад
Collateral & Margining Analyst (Financial Markets)
Мэтч & Сопровод
Для мэтча с этой вакансией нужен Plus
Описание вакансии
Текст:
TL;DR
Collateral & Margining Analyst (Financial Markets): Managing daily collateral and margining activities across OTC derivatives, repo, and prime products with an accent on margin call validation, reconciliations, dispute resolution, and operational controls. Focus on investigating breaks, improving upstream data validation, conducting root cause analysis, and implementing remediation across high-volume workflows.
Location: Singapore, Central Singapore, Singapore. This is a fixed-term contract role, and a valid Singapore work permit is mandatory.
Company
is a managed services, consulting, and technology solutions provider focused on improving the financial services value chain.
What you will do
- Perform daily collateral margining activities across OTC derivatives, repo, and prime brokerage products.
- Calculate, validate, and reconcile margin calls, disputes, and settlements.
- Investigate and resolve margin discrepancies and operational breaks with internal stakeholders and counterparties.
- Strengthen operational controls, governance, exception tracking, and escalation processes.
- Improve upstream data validation and control frameworks.
- Conduct root cause analysis and implement remediation actions while collaborating with trading, risk, treasury, and operations teams.
Requirements
- 1–2 years of experience in collateral or margining within investment banking or financial markets.
- Working knowledge of CSA and GNA agreements, collateral lifecycle, settlements, and control frameworks.
- Experience with margin call calculations, dispute management, and reconciliations across relevant financial products.
- Experience improving processes and enhancing operational controls.
- Ability to manage complex portfolios and high-volume, deadline-driven workflows with strong attention to detail.
- Valid Singapore work permit required. Applications must be submitted in English.
Culture & Benefits
- Work in a high-touch, time-sensitive global markets environment.
- Collaborate across trading, risk, treasury, operations, and external counterparties.
- Equal opportunity employer with reasonable accommodations available during the hiring process.
- Three-month fixed-term contract.
Hiring process
- Applications and interviews are conducted in English.
- The selection process is ongoing; selected candidates are contacted within four weeks.
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