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Strong brand, metro location, hybrid working, junior generalist role and 1-2 year band create high competition.
Role requires securities, OTC and custody knowledge so skills are industry-specific and less transferable.
Moderate filters like finance degree, NCFM/CISI and VBA/SQL preferred produce medium strictness.
Reduce credit risk via collateral management by exchanging eligible cash or securities based on MTM calculations and margin calls.
Own daily margin calls processing, collateral balances reconciliation, discrepancy investigations, and escalations resolution.
Contribute to process documentation, improvements, training other team members, and support onboarding of new processes and clients.
1-2 years of experience in financial or business services, preferably in collateral management or related areas.
Graduate degree required, preferably in Finance, Commerce, B.COM, BBM/BBA, MBA (Finance), or M.COM.
Certification on NCFM / CISI or equivalent required.
Strong MS Excel and Outlook skills; knowledge of Macros, SQL, or MS Access queries is necessary.
Experienced in collateral management tasks including margin calls, reconciliations, and collateral settlements in OTC/derivatives context.
Detail-oriented with strong numeracy skills and ability to work under tight deadlines and handle escalations efficiently.
Capable of process documentation and improvements, with some exposure to training and team coordination activities.