Job Description

Overview


JD: Product Manager - Collateral Management (USTC Phase3)



Exposure & Margin Analysis



  • Analyze daily counterparty exposures across OTC derivatives, repos, securities lending, and prime brokerage portfolios.

  • Support the calculation and validation of initial margin (IM), variation margin (VM), and collateral calls.

  • Investigate margin disputes, exposure breaks, and collateral shortfalls, coordinating with Front Office and Operations.

  • Assess the impact of market movements, recent trades, and lifecycle events on collateral requirements.



Collateral Optimization & Inventory Management



  • Evaluate collateral eligibility, haircuts, and optimization rules to improve funding efficiency.

  • Partner with Treasury and Front Office to support collateral allocation strategies across legal entities and business lines.

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