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Tier-1 employer, popular generalist role, mid-level experience range, and broad skill requirements.
Requires collateral, margin-call and OTC knowledge; domain-specific experience is essential.
Preferred 1–2 years and Excel/SQL expectations create moderate screening.
Execute daily collateral management activities focusing on reducing credit risk via margin calls and settlement of eligible cash/securities transfers.
Complete assigned tasks such as collateral reconciliation, resolving discrepancies, and responding to margin call queries accurately and timely.
Support process improvements, prepare process documentation, assist in training team members, and handle ad-hoc projects and escalations.
1-2 years experience in financial or business services with exposure to collateral management or related functions.
Graduate degree in Finance or Commerce (B.COM, BBM/BBA, MBA Finance, M.COM or equivalent).
Proficient in MS Excel and Outlook; knowledge of PowerPoint and Word is a plus.
Work Experience Required: 1-2 years in financial/business services.
Detail-oriented individual with strong numeracy skills capable of managing time-sensitive, accuracy-focused tasks.
Comfortable working independently and taking ownership while coordinating with internal departments to resolve queries and discrepancies.
Familiarity or background in financial markets, OTC derivatives, custody, and experience with tools like VBA, Macros, SQL is advantageous but not mandatory.