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Tier-1 brand, popular junior finance role, hybrid work, metro location, generalist skillset.
Requires securities, OTC and collateral experience, limiting transferability outside financial services.
Explicit 1–2 years requirement and finance domain skills moderately filter applicants.
Manage collateral to reduce credit risk by exchanging cash/securities between counterparties based on MTM calculations.
Send and respond to margin calls, reconcile collateral balances, and resolve discrepancies as the point of contact for escalations.
Prepare and review monthly statistics, support onboarding of new processes and clients, and assist in departmental projects and workload planning.
1-2 years experience in financial or business services, specifically in collateral management or related finance area.
Graduate degree preferably in Finance, Commerce, B.COM, BBM/BBA, M.COM, or MBA (Finance).
Good knowledge of MS Excel and Outlook; PowerPoint and Word skills are advantageous.
Certification in NCFM or CISI preferred; knowledge of OTC markets, derivatives, custody, VBA, Macros, SQL, and MS Access is a plus.
Operates with strong attention to detail and numeracy skills to meet tight deadlines in a financial services environment.
Experienced in handling margin calls and collateral reconciliation with effective communication across departments.
Comfortable with process documentation, improvements, and supporting onboarding and training initiatives for new team members.