Collateral Management recruitment
As one of the major players in the industry, this bank is a major global financial services provider engaged in retail and commercial banking, credit cards, investment banking, wealth management and investment management services with an extensive international presence in Europe, the Americas, Africa and Asia. They are now looking for a suitably experience candidate to be part of the Collateral Management and Client Valuation group.
The group is a critical risk mitigation function, responsible for safeguarding the bank's credit and reputational risk via the managment of collateralised trading relationships and the distribution of accurate and timely trade valuations to clients. This department is proactive in identifying and implementing innovative operational solutions for increasingly complex business requirements and is an active and influential participant in leading edge industry initiatives.
Working closely with various departments within the bank, the team's responsibilities include sourcing and distributing trade valuations, managing the margin call process, conducting portfolio reconciliations, reviewing new business requirements and client query management. As part of the collateral management team, your main duties are essentially to prepare and send margin calls to clients in a timely and accurate manner.
You will have 1-2 years experience in collateral mangement or credit risk operations with good product knowledge in OTC derivatives. You should also be a good team player and is able to work effectively as part of a team, with an eye for details and good time management skills.
Interested applicants are encouraged to submit their resumes in MS Word format to cindy.tan@hays.com.sg.