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Tier-1 brand, hybrid remote option, metro Bengaluru location and mid-level finance operations increase applicant competition.
Collateral and custody skills are highly domain-specific and not easily transferable across industries.
Requires finance domain knowledge, custody/margin experience, SQL/VBA skills and preferred certifications, so filters are moderately strict.
Process daily margin calls including both cash and securities for banks and fund clients, ensuring all exposures are fully collateralized.
Reconcile collateral balances and investigate discrepancies, managing client and counterparty escalations.
Generate various reports, handle fails investigation, interest processing, portfolio reconciliations, and support collateral transformation initiatives.
Experience Required: Experience in Collateral Management involved in margin calls and credit risk reduction.
Education: Graduate or above preferably in Finance, Commerce, B.COM, BBM/BBA, MBA (Finance), or M.COM.
Certifications: NCFM or CISI certification preferred.
Technical Skills: Proficient in MS Excel, Outlook; knowledge of MS Access, VBA, and SQL queries is an advantage.
Candidate with hands-on experience in OTC markets, derivatives, and collateral onboarding.
Comfortable working under tight deadlines with strong numeracy and attention to detail.
Ability to communicate effectively in English and handle client and counterparty interactions and escalations.