Job Description

Take the lead as a Product Manager for Collateral Management. This role requires proficiency in exposure analysis, collateral optimization, and regulatory frameworks.
In the USTC Phase3 environment, you will play a pivotal role in managing counterparty exposures and analyzing collateral requirements across various portfolios. You will work closely with Treasury and Front Office teams, enhance systems, and ensure compliance with regulations such as Basel III and EMIR. Your analytical skills will be key in identifying optimization opportunities within collateral processes.
Key Responsibilities:
• Analyze OTC derivatives and repo exposures daily
• Validate margin calculations for pricing accuracy
• Collaborate on regulatory compliance and reporting
• Evaluate collateral inventory and concentration risks
• Support system testing and enhancements for collateral tools
Requirements:
• In-depth understanding of margin and collateral management
• Knowledge of regul...

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