





Tier-1 brand, metro location, and a junior generalist finance role create high applicant competition.
Role requires collateral, OTC and custody knowledge, making cross-industry transferability limited.
Some explicit experience and domain skills required but many are preferred, so moderate shortlisting filters.
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Own daily margin call calculations based on MTM of underlying trades to reduce credit risk by managing collateral transfers between counterparties.
Reconcile collateral balances, address discrepancies, and act as main contact for margin call queries and escalations.
Support process documentation, contribute to process improvements, and assist in onboarding new clients and processes.
1-2 years experience in financial or business services with knowledge of collateral management.
Graduate degree in Finance or Commerce (B.COM, BBM/BBA, MBA Finance, M.COM, or related).
Proficiency in MS Excel and Outlook; familiarity with PowerPoint and Word is advantageous.
Preferred certifications such as NCFM or CISI; knowledge of Macros, SQL, and MS Access queries is a plus.
Detail-oriented individual comfortable working under tight deadlines with strong numeracy skills.
Experienced in financial markets basics, OTC markets, derivatives instruments, or custody operations is preferred.
Able to handle multiple communication channels professionally and coordinate escalations effectively.