Collateral Management Analyst – Banking
An excellent opportunity has recently arisen at a leading investment bank based in London for a Collateral Management Analyst.
It is essential that you have previous experience calculating margin calls, the ability to reconcile portfolios, and deal with queries related to that.
You will be responsible for calculating, issuing and validating margin calls. The role will require good communication skills as you will be required to resolve a variety of queries via liaison with clients or internal stakeholders.
Knowledge of Prime Brokerage or Margin Lending will be an advantage. Strong analytical and problem-solving skills will be required as this is a technical based role.
The role sits within a fast-paced environment and so good time management skills and the ability to handle pressure is key.
To explore this opportunity further, please submit your CV into our group inbox and a member of Venn Group’s Financial Services team will get in touch.