Int. Analyst within Collateral Management - 55694
S.i. Systèmes
Toronto, ON-
Nombre de poste(s) à combler : 1
- Salaire À discuter
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Emploi Contrat
- Publié le 8 juillet 2025
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Date d'entrée en fonction : 1 poste à combler dès que possible
Description
Business Unit: 4 - Financial Risk Management
Duration: Until Oct 31st 2026
Extension possible: Depends on project and funding
Conversion Possible: Possible if something were to open up
Interview Process: 1 or 2 rounds depending on performance Virtual or In person - (Wednesdays in person).
Work Location: Hybrid (2 days/week). Flexible
CANDIDATE PROFILE DETAILS:
Degree/Certifications Required: • An undergraduate or graduate degree in Business, Economics, Mathematics, Finance or another quantitative discipline.
Years of experience: 5-7 years
Reason for request/why opened: Backfilling
% Interaction with Stakeholders: Dealing with external parties as well
Project Scope: Re platforming from one system to another
Team Size: 5 immediate, 25 larger team
Selling Points of Position: Experience with Securities industry, banking experience, opportunity for growth, industry knowledge and exposure
Best Vs Average Candidate: Someone that is a quick learner
How will performance be measured: 1:1 available if the candidate desires.
SUMMARY OF DAY-TO-DAY RESPONSIBILITIES:
A Senior Analyst within Collateral Management will primarily be focused on the effective and efficient mitigation of counterparty credit risk. Senior Analysts are responsible managing counterparty credit risk as well as for demonstrating innovation and a proactive approach to risk mitigation by highlighting inefficiencies, risks and implementing improvements.
The role will involve close partnership and interaction with a wide range of areas, including credit, middle office, legal, front office, settlements, and corporate treasury. As a result the successful candidate will be required to possess strong communication skills.
Senior Analysts within Collateral Management are accountable for the following core responsibilities, but are not limited to:
• Daily monitoring of client portfolios, issuing and receiving collateral calls to ensure the firm’s credit risk is mitigated.
• Ensure margin tickets are accurately entered into the collateral system
• Extensive interaction with clients.
• Ensure process reviews are conducted in accordance with Global Short-term Markets Policy
• Resolution and escalation of collateral issues.
• Reconciliation of repo collateral statements upon margining disputes
In addition to their core responsibilities, Analysts are also expected to:
• Contribute their own ideas to make a difference and add value to the group.
• Ongoing, proactive risk management via staying abreast of risk issues in the capital markets and assessing impacts on our exposures
• Seek opportunities to increase operational efficiency and lower operational risk through process reengineering
• Performing a number of control functions, ensuring the integrity of our processes.
• Establish an environment that promotes respect for the individual employee and adheres to the policies and guidelines of the Bank
MUST HAVE:
At least five years' of capital market experience or relevant collateral management experience
• Strong communication skills
• Self-starter with a high degree of initiative and the ability to learn and adapt quickly
• Strong analytical skills and attention to detail.
NICE TO HAVE:
• CFA and/or FRM would be considered an asset
Exigences
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