Collateral Management
Posted:
13 August 2026 (8 hours ago)
Application Deadline:
10 November 2026
Vacancies:
1 Vacancy
Job Summary
Job Title : Collateral Management
Experience : 6 to 8 Years
Location : Mumbai
Roles & Responsibilities
- Manage daily margin calls for OTC Repo PB and MSFTA including Variation Margin and Initial Margin.
- Ensure timely process delivery and adherence to KPI KRI and supervisory controls.
- Handle process and technical escalations.
- Build strong relationships with internal and external stakeholders.
- Drive process improvements and automation initiatives.
- Maintain and regularly review process documentation.
- Review daily weekly and monthly MIS and operational reports.
- Ensure adequate cross-training and backup coverage within the team.
- Support change management and system enhancement projects.
Requisites
- Strong knowledge of Collateral Management and Margin Management.
- Hands-on experience with OTC Derivatives Repo PB and MSFTA.
- Good understanding of Variation Margin (VM) and Initial Margin (IM).
- Experience in margin call processing reconciliation and exception management.
- Knowledge of KPI/KRI operational controls and risk management.
- Strong stakeholder management and escalation-handling skills.
- Experience in MIS reporting and process documentation.
- Strong analytical and problem-solving skills.
- Good communication and team coordination skills.
- Ability to work under pressure and manage multiple priorities.
Required Skills:
Collateral ManagementOTC DeriavtivesRepoMSFTAPBMargin Management