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Tier-1 brand and Bangalore metro increase competition, while niche collateral/custody skills limit applicant density.
Skills tied to custody, margin processes and OTC derivatives transfer mainly within financial services, not broadly across industries.
Requires finance qualifications plus custody/derivatives knowledge and SQL/VBA skills, creating moderate shortlisting filters.
Process and manage daily margin calls including cash and security margin calls for banks and fund clients to reduce credit risk.
Reconcile collateral balances, investigate discrepancies, and act as escalation point for issues to ensure exposures are fully collateralized.
Generate reports, handle portfolio reconciliations, interest processing, and support collateral substitutions and transformation initiatives.
Work Experience Required: Not explicitly mentioned in the JD.
Graduate degree in Finance, Commerce or related field (B.COM, BBM/BBA, MBA Finance, M.COM).
Proficient knowledge of MS Excel, Outlook; skills in MS Access, VBA; knowledge of OTC markets/derivatives and collateral onboarding.
Certification in NCFM or CISI preferred; knowledge of Macros, SQL, and MS Access database queries.
Experienced in collateral management with operational control over margin calls and reconciliation processes.
Comfortable working with finance and custody operations involving derivatives and OTC instruments.
Able to manage detailed, deadline-driven workflows with effective communication and reporting skills in English.