





Tier-1 bank, mid-level experience band, and metro Mumbai drive high competition.
Specialized derivatives, clearing, treasury, and collateral skills mean high industry-specificity.
Explicit 2-5 years plus mandatory derivatives, funding and collateral expertise yields medium strictness.
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Manage funding strategies and daily funding operations for listed derivatives (futures, options), including margin calls and collateral optimization.
Optimize balance sheet utilization focusing on Risk-Weighted Assets (RWA) and leverage ratio for listed derivatives business.
Collaborate with internal teams and external counterparties; develop and enhance analytical tools and reporting for funding, collateral, and P&L tracking.
2-5 years of relevant experience in funding, treasury, collateral management, or derivatives operations.
Bachelor’s degree in Finance, Economics, or a Quantitative field required.
Strong technical knowledge of listed derivatives funding mechanics, margin methodologies, clearing processes, treasury principles, and relevant regulatory frameworks (UMR, Basel).
Proficiency in financial modelling (Excel, Python); knowledge of data handling (Python, SQL) and visualization tools (Tableau or Power BI) is a plus.
Experienced in funding and collateral management within listed derivatives or related financial products, with operational and technical expertise.
Analytical and technically proficient, capable of enhancing workflows using AI tools and data technologies for productivity and risk management.
Able to operate effectively in a multi-stakeholder environment collaborating with trading, treasury, risk, technology, and business management teams.