Middle Office Analyst/Collateral Management Job at Motion Recruitment, Charlotte, NC

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  • Motion Recruitment
  • Charlotte, NC

Job Description

Outstanding long-term contract opportunity! A well-known Financial Services Company is looking for a Middle Office Analyst/Collateral Management (Hybrid).

Work with the brightest minds at one of the largest financial institutions in the world. This is long-term contract opportunity that includes a competitive benefit package! Our client has been around for over 150 years and is continuously innovating in today's digital age. If you want to work for a company that is not only a household name, but also truly cares about satisfying customers' financial needs and helping people succeed financially, apply today.

Required Skills & Experience

  • 1 year of capital markets industry or similar experience
  • Ability to work in a fast-paced deadline driven environment.
  • Effective organizational, multi-tasking, and prioritizing skills
  • Excellent verbal, written, and interpersonal communication skills
  • Extensive knowledge and understanding of loan, securities, and derivative products
  • Intermediate Microsoft Office skills (Macros, V-Lookups, Tableau, etc)
  • Strong analytical skills with high attention to detail and accuracy

NICE TO HAVE

  • Strong client services skills
  • College degree with concentration in finance and business
  • Understanding of Calypso, Imagine/Mercury, Opics, Endur, CDBO and other mainframe trading systems
  • Firm understanding of derivative trading (Interest Rate Swaps, Swaptions, Floors, Caps, Commodities Cross-currency, FX, Equity, etc.) mechanics and payment reset schedules
  • Knowledge of and possess ability to interpret executed International Swaps and Derivatives Association Master Agreements (ISDA) and Credit Support Annex (CSA), MSFTA and GMRA documents
  • Self-starter and aggressive work ethic with self-discipline follow up skills
  • Experience with Lombard Risk’s Colline Collateral Management platform is a plus
  • Tableau and SQL
  • FINRA Series 7 licensed

SOFT SKILLS

  • Strong analytical skills with high attention to detail and accuracy
  • Self-starter and aggressive work ethic with self-discipline follow up skills

What You Will Be Doing

  • Compare trade position files from external counter-parties to resolve timely margin call disputes
  • Perform trade decompositions to validate current mark-to-market exposures
  • Review and present collateral margin calls and respond to the demands submitted by our counterparties
  • Work with internal departments (various Middle Offices, Documentation, Marketers, Legal, Credit) to resolve all discrepancies
  • Produce and distribute ad-hoc reporting requirements to clients and internal partners
  • Cross-train future staff members to assist and independently perform daily Derivative Collateral Management margin responsibilities
  • Consistently seek opportunities to improve processes, controls and procedures within the Collateral Management team
  • Partner with the project team to develop requirements for system enhancements and assist with user acceptance testing

Job Tags

Long term contract, Work at office,

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