





Tier-1 brand and Mumbai metro increase competition, but specialist senior role limits candidate pool.
Role demands banking cash/collateral and treasury domain expertise, so background transferability is low.
Explicit 10–15 years requirement plus regulatory, control and treasury expertise makes shortlisting highly strict.
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Own intraday cash management operations for the MEA region, including monitoring liquidity and coordinating with Treasury teams.
Manage and control cash and collateral movements, ensuring compliance with audit and operational policies.
Analyze complex data and reports related to collateral and margin processes, make recommendations for process improvements and risk reduction.
10-15 years of relevant experience in cash and collateral management or related operations.
Bachelor’s or University degree or equivalent experience.
Strong knowledge of collateral and margin processes with ability to resolve complex issues independently.
Not explicitly mentioned in the JD: Notice period and specific location requirements.
Emerging expert in cash and collateral management with strong analytical skills and operational execution focus.
Experienced in working with cross-functional teams such as middle office, settlements, and controls.
Able to apply advanced communication and diplomacy skills to convey complex information to internal and external stakeholders.