





Tier-1 brand, metro location, and common early-career finance operations role increase applicant competition.
Role requires specialized securities and collateral knowledge, limiting transferability outside financial services.
Preferred 1–2 years and optional certifications cause moderate filtering, not overly stringent.
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Manage daily collateral calculations based on mark-to-market (MTM) of underlying trades to send margin calls and ensure agreed transfer settlements.
Reconcile collateral balances, investigate discrepancies, and act as main escalation contact to maintain fully collateralized exposures.
Support process improvements, internal and external reporting, onboarding new clients/processes, and train/develop team members.
1-2 years experience in financial or business services, preferably in collateral management or related fields.
Graduate degree minimum, preferably in Finance, Commerce, B.COM, BBM/BBA, MBA (Finance), or M.COM.
Knowledge of collateral management concepts including MTM calculations and margin calls.
Proficiency in MS Excel and Outlook; knowledge of PowerPoint, Word, Macros, SQL, or MS Access is a plus.
Demonstrates strong numeracy, attention to detail, and accuracy under tight deadlines in a financial operations environment.
Experience with OTC markets, derivatives, custody, or financial instruments relevant to collateral management.
Capable of handling escalations independently, coordinating across teams, and contributing to process improvement initiatives.