Margin Management Analyst

London  ‐ Onsite
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Description

Margin Management Analyst

Bank of America Merrill Lynch

12 Month Contract

Responsibilities

  • Responsible for processing daily margin calls within the Futures Collateral Margin team whilst minimizing risk and providing high levels of client service for FFO and OTC Cleared clients.
  • Work closely with key stakeholders to ensure the day to day Margin Process is conducted
  • Understand and monitor risk across Bank of America Merrill Lynch portfolio of clients
  • Monitor the collateralization requirements arising from the trading activities of those counterparties with margin documentation in place.
  • Investigation and resolve of any margin call discrepancies

Requirements

Essential

  • Experience within Financial Services/Banking industry
  • Graduate with a financial degree
  • Will consider experience in Finance, Risk Management and Treasury
  • Familiarity with listed FFO and OTC Derivatives life cycle

Skills/Aptitude Required:

  • Excellent verbal and written communication skills
  • Highly numerate with analytical problem-solving ability with proven track record of delivering results
  • Self starter, well organized, ability to solve problems and meet tight deadlines
  • Attention to detail, delivering high quality output
  • Strong controls background

Start date
ASAP
Duration
12 months
From
Pontoon
Published at
18.01.2017
Project ID:
1270711
Contract type
Freelance
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