Description
Collateral Management Analyst - Banking - London - £/dayOur client, A Tier 1 Investment Bank, are currently looking for a Collateral Management Analyst to work in their London office on a long term contract basis.
The successful Collateral Management Analyst candidate will have the following:
- In-depth knowledge and working experience of all collateral management functions, inc Margin Calls, Dispute Management, Interest and Portfolio Matching
- A strong product knowledge is essential covering Repo, derivatives and stock lending. Knowledge of Collateral Optimisation and CCP's will also be an advantage
- The candidate must have in depth working knowledge of tri-resolve as their initial role will involve portfolio reconciliation and dispute management resolution
If you are interested and meet the above criteria then please apply for the Collateral Management Analyst position immediately.
Keywords: collateral management, dispute management, tri-resolve, marin calls, portfolio matching, repo, derivatives, stock lending, optimisation, ccps, banking, london, reconciliation
Sthree UK is acting as an Employment Business in relation to this vacancy.