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Tier-1 brand, metro location, and mid-level product title drive high applicant competition despite niche repo specialization.
Role requires deep Repo/Securities Lending markets expertise, making skills poorly transferable across industries.
Regulated markets and mandatory Repo/Securities Lending domain expertise create strict, selective shortlisting.
Own and execute the product roadmap for a new Repo and Securities Lending trading platform focusing on collateral optimization, allocation, inventory management and utilization.
Manage end-to-end delivery including schedule, risks, scope, and stakeholder communication across business and technology teams in an Agile Scrum environment.
Collaborate closely with Repo/Securities Lending trading, middle office, operations, collateral, risk, finance, and technology to deliver commercially effective and controlled product solutions.
5+ years of Business Execution, Implementation, or Strategic Planning experience (or equivalent).
Deep business knowledge of Repo and Securities Lending markets, with experience in Repo trading, middle office, collateral management or related product functions.
Experience with Agile product development including Scrum, backlog management using Confluence and JIRA.
Work Model: Hybrid with minimum 3 days/week onsite; flexibility for US business hours and weekend support as needed.
10+ years’ experience in Markets with significant focus on Repo, Securities Lending, or collateral management product ownership or change delivery.
Demonstrated ability to translate complex front/middle office needs into clear, executable product features and manage end-to-end delivery with Agile teams.
Strong communication and stakeholder management skills capable of engaging senior global leaders and multiple cross-functional teams.