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Collateral Management Consultant

Nomura · new york, United States
collateral managementotc derivativesrepo marketsmargin regulationsrisk managementexperienced

Job Description

The Collateral Management Consultant will partner with Global Markets, Middle Office, and Risk teams to address client queries. Responsibilities include overseeing margin activity, engaging in regulatory projects, and maintaining supervisory procedures. Strong understanding of OTC Derivatives and Repo Markets is required.

Qualifications

Minimum of 5-7 years of collateral management experience, specifically from a managerial position.

Skills Required

  • collateral management
  • otc derivatives
  • repo markets
  • margin regulations
  • risk management

Location

City: new york · Country: United States