Senior Consultant - Collateral Management
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Protocol Intelligence
Data-driven signals on your job's competitivenessMedium due to strong brand and metro location balanced by seniority and niche collateral specialization.
High because role requires domain-specific collateral, derivatives and UMR regulatory expertise.
High due to explicit 8-12 years requirement and mandatory collateral, UMR, and reconciliation expertise.
Job Description
Structured overview of role & requirementsAbout This Role
Manage end-to-end margin lifecycle including collateral and cash reconciliation for complex hedge funds.
Drive resolution of margin disputes and ensure compliance with UMR regulations and governance oversight.
Own break closure timelines, client and counterparty communications, and month-end collateral interest processing.
Minimum Requirements
8-12 years experience in Financial Services focusing on collateral and margin calls.
Bachelor's degree in Accounting, Finance, or quantitative discipline; Masters preferred.
Experience with OTC derivatives, margin processes, and regulatory requirements such as UMR.
Proficient in Excel; VBA experience is a plus. Familiarity with platforms like TriOptima, Cloud Margin, Colline, Acadia required.
Ideal Candidate Profile
Experienced in hedge fund administration or financial services with exposure to OTC derivatives and margin management.
Strong operational ownership with proven ability to manage high-volume, time-sensitive reconciliation and dispute resolution.
Comfortable working in fast-paced, regulatory-compliant environments with strong communication and process improvement skills.
