





Tier-1 brand and metro location raise applicant density, but niche repo expertise reduces broad competition.
Role requires niche securities financing domain knowledge and controls experience, limiting cross-industry transferability.
Explicit 10+ years and specialized repo/collateral controls make hiring filters strict and experience-focused.
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Manage end-to-end secured financing operations including repo/reverse repo confirmations, settlements, reconciliations, and triparty repo transactions.
Validate trade economics, collateral allocations, netted settlements, and execute daily confirmations to ensure accurate settlements and zero discrepancies.
Identify, escalate, and track settlement failures, pricing issues, breaks, and failed trades; manage wire tracking and support claims reporting.
Minimum 10+ years of experience with deep knowledge of repo, collateral, and settlement operations.
Strong risk and control mindset with proven ability to manage global stakeholders and lead teams.
Education: MBA or B.Com (Bachelor of Commerce).
Flexible to work shifts covering EMEA and North America time zones including 8 PM IST logins.
Experienced in secured financing products, particularly repo and reverse repo settlement flows and high-value payment processing.
Operates effectively under high volume and tight deadlines with strong attention to detail and control orientation.
Capable of managing complex stakeholder interactions globally and driving process efficiency and operational excellence.