Join CIBC in Toronto as a Manager, overseeing Repo Margin & Collateral Management. Excel in leading a team while enhancing processes in a versatile hybrid work setting.
In this role, you will ensure the accurate execution of margin calls and collateral management for various repo arrangements. Your expertise in managing exceptions and maintaining controls will help mitigate risks related to collateral eligibility and liquidity. Work collaboratively with cross-functional teams to elevate operations and support Canada’s secured funding market evolution.
Key Responsibilities:
• Supervise daily margin and collateral activities for compliance
• Manage the issuance and validation of margin calls
• Handle disputes and maintain strong collateral governance
• Enhance operational processes with new technologies
• Foster strong relationships with key financial stakeholders
Requirements:
• Experience in margin management and collateral operations
• Familiarity with tri-party, cleared and bilateral models
• Strong analytical skills for problem-solving
• Proven track record in leading and developing teams
• Knowledge of Canadian financial regulations and practices
Lead CIBC's repo operational transformation while ensuring robust risk management.
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