A leading global investment bank is looking to hire an experienced Stock Loan Collateral Analyst to support a rapidly growing Securities Finance business.
This role will focus on managing collateral exposures, margin activity and counterparty relationships across a diverse stock lending portfolio.
Key Responsibilities
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Monitor daily collateral positions and exposure levels
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Process margin calls and collateral movements
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Investigate and resolve collateral disputes and exceptions
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Manage collateral substitutions and optimisation activities
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Liaise with traders, counterparties and treasury teams
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Ensure compliance with internal risk and control frameworks
Requirements
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Previous experience within Securities Finance Collateral Management
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Strong understanding of margining processes and collateral controls
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Experience supporting stock lending or securities finance products
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Excellent analytical and reconciliation skills
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Strong communication and stakeholder management abilities
Benefits
6-month contract, with a view for further extension.
Salary to be discussed.