





Tier-1 brand, hybrid remote option, and metro location increase candidate competition.
High—collateral management requires finance-specific custody, margin-call, and OTC expertise, limiting cross-industry transferability.
Moderate due to required collateral/custody domain experience and Excel/SQL/VBA skills despite no explicit years.
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Accountable for daily processing of margin calls for banks and fund clients, including cash and securities.
Investigate and resolve collateral discrepancies, acting as main escalation point.
Generate reports, manage reconciliations, process interest statements, and participate in collateral transformation initiatives.
Experience in Collateral Management with knowledge of MTM-based calculations and margin calls.
Graduate degree in Finance or Commerce (B.COM, BBM/BBA, MBA Finance, M.COM or related).
Proficient in MS Excel, Outlook; knowledge of MS Access, VBA, Macros, SQL is advantageous.
Certifications such as NCFM or CISI preferred.
Experienced in finance/custody with understanding of OTC markets and derivatives collateral.
Detail-oriented with strong numeracy and ability to meet tight deadlines in daily operational environment.
Capable of supervising specialists and handling escalations in a dynamic team setting.