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Tier-1 bank, metro location and mid-level role increase competition despite specialized margin operations skillset.
Strong finance, OTC derivatives and regulatory specialization makes skills less transferable outside banking and capital markets.
Explicit 5+ years requirement plus mandatory margining and regulatory expertise enforces high selection strictness.
Resolve and manage margin disputes and accuracy of margin calls collaborating with multiple internal teams including Credit, Legal, Compliance, and Front/Middle Office.
Oversee daily margin operations including margin movements booking, initial margin exposure reconciliation, and continuous process improvements in collateral management.
Lead and guide analysts, ensure compliance with margining and portfolio reconciliation regulatory requirements, and facilitate audit and risk management processes.
Minimum 5 years working experience in operations risk and collateral management.
Graduation from a reputed institution.
Expert understanding of OTC Derivative, MTM valuation, Margining, ISDA/CSA, Repo and SBL, trade sensitivities, and margin and portfolio reconciliation requirements under Dodd-Frank, EMIR, HKMA, MAS.
Work Experience Required: Minimum 5 years as explicitly mentioned.
Experienced in complex margin operations within a large financial institution dealing with regulatory margin requirements and multiple stakeholder management.
Strong operational leadership skills with ability to manage teams and drive process improvements in collateral management systems.
Capable of engaging cross-functionally with risk, compliance, legal, and front/middle office teams to resolve margin and operational risks efficiently.