Description
Collateral Management Analyst | London | 6 month Contract | £400pd
An interesting opportunity has come up for a Collateral Management Analyst to join a high performing Wealth Management business.
The successful Collateral Management Analyst will be working within a small and dynamic team of 2, sitting directly on the trading floor. Therefore this role requires candidates to feel comfortable working as a part of the Front Office team working within a fast paced environment.
Ideally, candidates will come from a Securities Finance/Equities background working with complex derivatives as opposed to standard OTC securities.
Fieldglass: Job Posting
Responsibilities include:- Support securities finance & financing trading desks with responsibility for collateral management & collateral maximisation. This includes aspects of vanilla & non vanilla collateral management using Fixed Income, equities, etfs, cash & DBV.
- Monitoring daily exposure, and dealing with cash rebate, cashpool and non-cash collateral calls, booking all collateral movements.
- Working with & understanding different legal agreements GMSLA, GMRA & ISDA for some OTC & SWAP business.
- Building & maintaining internal & external relationships.
If you are interested in working within a fast paced and dynamic environment, this could be the job for you.
If you are interested in applying, please send an up to date CV.
Charlie Smith | Real Staffing