Help protect clients and markets by ensuring collateral moves accurately and on time. You’ll work at the heart of post-trade operations, where your attention to detail and client focus directly reduce credit risk and support funding efficiency. We’ll support your growth through exposure to multiple products, market structures, and cross-regional partners. If you enjoy solving complex breaks, improving processes, and working in a fast-paced environment, you’ll thrive here. We’re committed to building an inclusive team where you can do your best work.
As a Margin and Collateral Management Analyst as part of Asia Collateral Middle Office, you’ll manage daily margin and collateral workflows that support credit risk mitigation, client financing, and fee-based activity. You’ll issue and respond to margin calls, agree collateral movements, and monitor settlement through to completion. You’ll investigate portfolio breaks, resolve disputes, and escalate sensitive items with strong judgment and clear communication. You’ll partner with regional and global teams to deliver accurate reporting and continuously improve how we operate.
Our team supports a broad set of products, including over-the-counter (OTC) derivatives, foreign exchange (FX), repurchase agreements, loans, and centrally cleared activity. We manage high daily call volumes, reconcile portfolios, monitor settlements, and support regulatory reporting. You’ll collaborate closely with front office, risk, credit, settlements, and technology partners to keep client service strong and controls tight.
Job responsibilities
Required qualifications, capabilities, and skills
Preferred qualifications, capabilities, and skills
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