Explore a hybrid Collateral Analyst role with a leading financial institution in Downtown Toronto. Your expertise in margin calls and collateral management will be vital to our team. Our client, a Top 5 Bank in Canada, seeks a Collateral Analyst for a 6-month engagement.
You will handle OTC collateral margin calls, validate processes, and manage collateral inventory to ensure compliance with credit support requirements. The role emphasizes accuracy and timely responses across various collateral functions. Key Responsibilities:
- Validate and issue timely margin calls daily
- Manage non-cash collateral inventory levels
- Instruct and approve collateral movements via SWIFT/email
- Perform portfolio reconciliations with counterparties
- Assist in preparing margin funding reports on demand Requirements:
- 1 to 4 years in financial services, ideally Capital Markets
- Knowledge of risk policies and collateral management
- Proficient in Microsoft Excel and Office Suite
- Understanding of derivative products and processes
- Bachelor’s/Master’s in Finance preferred Elevate your career with experience in margin calls, risk management, and operational controls in this challenging role.
📌 Collateral Analyst Hybrid Role Toronto
🏢 FP
📍 Toronto