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Collateral Management, US Investment Bank
- Global Financial Institution
- Good career prospects
About Our Client
Our client is one of the world's largest financial institutions with a full range of banking, investing, asset management and other financial and risk management products and services. The company offers an integrated and comprehensive set of products and services across Global Corporate & Investment Banking, Global Markets and Wealth Management, serving the needs of individual, corporate, institutional and government clients, combining the best of local knowledge and global expertise.
The role is Collateral Management position directly reporting to the regional APAC Collateral Management lead. The position will be responsible for day to day processing of client exposure and margin calls and developing a people strategy to improve bench strength. Detailed knowledge of Repo, OTC and F&O collateral & margin management and funding is required.
The Successful Applicant
*Prior experience of Collateral Management and the regulatory environment.
*Demonstrates operational excellence, having examples of delivering superior tangible / quantifiable results.
*Exhibit the ability to switch between macro and micro operating principles in order to design, lead and adjust the control operating model as the need arises.
*Understand and adapt to regulatory and industry
*Proven track record of achieving results optimizing resources and driving efficiencies.
*Excellent communication, effective with subordinates, peers and senior management
*Strength in identifying and implementing solutions for process improvement
What's on Offer
● Global Financial Institution
● Good career prospects
● Located in central Tokyo