Risk Analyst - Collateral Management

Procom


Date: 1 day ago
City: Toronto, Ontario
Contract type: Contractor

Risk Analyst - Collateral Management:

On behalf of our Banking client, Procom is searching for a Risk Analyst - Collateral Management for a 12 month contract role. This position is a hybrid position with 2 days onsite at our client’s Toronto office.


Risk Analyst - Collateral Management - Job Description:

An Analyst within Collateral Management will focus on mitigating counterparty credit risk effectively and efficiently. The role involves managing counterparty credit risk, highlighting inefficiencies, and implementing improvements.


Risk Analyst - Collateral Management - Responsibilities:

  • Daily monitoring of client portfolios and managing collateral calls
  • Manage bilateral and centrally cleared OTC derivative exposure
  • Investigate and document margin disputes
  • Ensure accurate entry of margin tickets into the collateral system
  • Extensive interaction with clients and resolution of collateral issues
  • Support Manager in interactions with internal stakeholders and external vendors


Risk Analyst - Collateral Management - Mandatory Skills:

  • At least 2 to 3 years of capital market experience or relevant collateral management experience
  • Strong communication skills
  • Strong analytical skills and attention to detail
  • Demonstrated leadership skills
  • Self-starter with a high degree of initiative


Risk Analyst - Collateral Management – Nice-to-Have Skills:

  • Python
  • Previous experience with client interaction
  • CFA and/or FRM


Risk Analyst - Collateral Management – Assignment Length:

This is a 1-year contract position with the possibility of extension or conversion.


Risk Analyst - Collateral Management - Start Date:

ASAP.


Risk Analyst - Collateral Management - Assignment Location:

Toronto, Ontario, Canada. This is a hybrid role requiring 2 days in the office on Wednesdays and Thursdays.
Post a CV