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Tier-1 bank, metro location and mid-level operations title increase candidate density significantly.
Margin and collateral operations are highly banking-specific, limiting cross-industry transferability.
Explicit minimum years, mandatory collateral/margin operations experience, and regulated requirements increase filtering strictness.
Own resolution of margin disputes and ensure accuracy of margin calls by collaborating with various internal teams including Credit, Legal, Compliance, and Front/Middle offices.
Manage daily BAU operations including booking of margin movements, timely reconciliation of Initial Margin exposure and trade sensitivities using systems like Acadiasoft and Blazer.
Ensure regulatory compliance with margining and portfolio reconciliation requirements under EMIR, Dodd-Frank, HKMA, including governance, risk management, and continuous process improvement.
Minimum 3 years of working experience in operations risk and collateral management.
Graduation from a reputed institution is mandatory.
Strong understanding of margin and portfolio reconciliation requirements under regulations such as Dodd-Frank, EMIR, HKMA, MAS.
Expertise in OTC Derivatives, MTM valuation, Margining, ISDA/CSA, Repo and Securities Borrow and Lending (SBL), and trade sensitivities.
Experienced in managing cross-functional collaboration across Risk, Legal, Compliance, and Operations to resolve margining issues and disputes.
Capable of leading process improvements and ensuring controls and governance compliance within collateral management and margin operations.
Operates effectively in a regulated environment with strong familiarity of global regulatory frameworks impacting margin operations and portfolio reconciliation.