





Tier-1 Bengaluru role increases applicants, but niche collateral/custody expertise limits candidate density.
High — custody, margining and OTC derivatives skills are industry-specific and not easily transferable.
Medium — requires collateral, custody and SQL/Macros skills but no explicit years filter.
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Own daily margin call processing for bank and fund clients, handling both cash and securities.
Lead reconciliation of collateral balances, investigating discrepancies and managing escalations.
Generate various reports, manage fails investigation, portfolio reconciliations, interest processing, and support collateral transformation initiatives.
Experience in collateral management involving margin calls and credit risk reduction.
Graduate degree preferably in Finance or Commerce (e.g., B.Com, BBA, MBA Finance, M.Com).
Proficiency in MS Excel, Outlook; knowledge of MS Access and VBA required; knowledge of Macros and SQL is advantageous.
Certification on NCFM / CISI or equivalent financial certifications preferred.
Strong operational expertise in collateral management with OTC/derivative market knowledge.
Detail-oriented with ability to work under tight deadlines and manage multiple operational tasks.
Experience or ability to supervise a team and handle client/counterparty communications effectively.