This list contains only the countries for which job offers have been published in the selected language (e.g., in the French version, only job offers written in French are displayed, and in the English version, only those in English).
Within Markets Operations, Margin & Collateral Operations teams mitigate counterparty exposure and ensure regulatory compliance while delivering best-in-class capabilities in margin and collateral management, inventory management, collateral efficiency in addition to the execution of portfolio reconciliations and client valuations reporting. The team supports global Markets businesses across products, regions, and entities, engaging with a broad range of stakeholders. Within Markets Operations, the Margin & Collateral Operations teams are establishing a presence in India, Pune to support both global coverage and business growth. The successful candidate will be responsible for leading and developing teams and margin and collateral processes supporting global Markets businesses across products, regions, and entities. They will work as part of with the Margin and Collateral Operations leadership team and key businesses, technology, and broader stakeholder to develop key risk management and business enabling capabilities through sound processes.
Job Responsibility
Build out and lead Margin & Collateral Optimization Operations function and organization in India
Operate as Key Time-zone Functional Escalation
Oversee managed services operated by local providers
Sponsor and drive key strategic initiatives and programmes and investments
Leadership of Margin and Collateral Optimization Operations capability in India
Partner with key businesses and stakeholders
Implement and oversee robust risk management and control capabilities for margin and collateral operations
Ensure well-designed products and services
Provide evaluative judgment based on information analysis in complex, unique, and dynamic situations
Requirements
10+ years in financial services, with extensive prior experience leading multi-asset margin or collateral functions at a large financial services firm
End-to-end knowledge of margin, including impacts on liquidity, capital, financial & regulatory reporting, books and records, securities, and margin & collateral practices and infrastructure
Understanding of an end-to-end margin and collateral control framework and standards
Experience leading large global organizations, driving target-oriented performance with a focus on execution, control enhancement, risk management, client service, and transparency