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Join us at Barclays as a Liquid Financing Cross Margining Solutions AVP. In role your main areas of responsibility will include Risk and Margin & Infrastructure management alongside contribution to the overall client management of our portfolio. Global Markets Liquid Financing at Barclays provides a full service and fully integrated Prime Brokerage offering to hedge fund clients and asset managers seeking to take advantage of our margin financing, stock lending, clearing and client service solutions across multiple asset classes.
Job Responsibility:
Working with clients to optimise the Liquid Financing relationship
Provide best-in-class service and escalation oversight
Primary contact for Liquid Financing clients in areas such as trading, risk, billing and reporting
Provide expertise on industry and regulatory initiatives
Subject matter expert for our clients, with a deep understanding of each client’s business mix, operational requirements and product sensitivities
To advise and influence decision making, contribute to policy development and take responsibility for operational effectiveness
Collaborate closely with other functions/ business divisions
Lead a team performing complex tasks, using well developed professional knowledge and skills to deliver on work that impacts the whole business function
Set objectives and coach employees in pursuit of those objectives, appraisal of performance relative to objectives and determination of reward outcomes
Consult on complex issues
providing advice to People Leaders to support the resolution of escalated issues
Identify ways to mitigate risk and developing new policies/procedures in support of the control and governance agenda
Take ownership for managing risk and strengthening controls in relation to the work done
Perform work that is closely related to that of other areas, which requires understanding of how areas coordinate and contribute to the achievement of the objectives of the organisation sub-function
Collaborate with other areas of work, for business aligned support areas to keep up to speed with business activity and the business strategy
Engage in complex analysis of data from multiple sources of information, internal and external sources such as procedures and practises (in other areas, teams, companies, etc).to solve problems creatively and effectively
Communicate complex information
Influence or convince stakeholders to achieve outcomes
Requirements:
Experience in the finance and technology industry at either a buy-side or sell-side firm, or exchange in the margin, risk management, technology, treasury or collateral management space
Ample product knowledge across asset classes
Good technical aptitude, with the ability to design, build and enhance IT stack
Knowledge of derivatives products and services including the risks associated with them and related operational aspects
Nice to have:
Familiarity of risking principles and methodologies with respect to multi-asset portfolios
Knowledge of, or willingness to learn about documentation relating to cash and synthetic prime brokerage including but not limited to: prime brokerage agreements, committed margin agreements, netting agreements, International Swaps and Derivatives Association (ISDA) Master Agreements, repo master agreements, equity master confirmation agreements
Solid understanding of scarce resources, and all aspects of risk management
What we offer:
Structured approach to hybrid working
Wellness Suite includes a well-equipped gym and exercise studios, and provides personal training sessions and massage therapy
Supporting active commuters with cycle hire and parking areas to new showering and changing facilities