Collateral Risk Specialist - Global Markets & Treasury

First Abu Dhabi Bank (FAB)

Abu Dhabi

On-site

AED 240,000 - 360,000

Full time

14 days+
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Job summary

First Abu Dhabi Bank (FAB) in Abu Dhabi seeks a collateral management professional to support the Global Markets and Treasury collateral operations in line with Bank Policies and regulatory requirements.

The role emphasizes validating margin calls, processing settlements, and ensuring timely regulatory reporting. Collaboration with risk, middle office, and finance teams is essential, with a focus on process improvements using Murex as a key enabler.

Qualifications

  • Bachelor’s degree in finance or economics.
  • 1-3 years’ experience in the banking sector in similar positions in the Middle office/Collateral management/Market Risk or Treasury function.
  • Experience of having extensively worked on Murex platform for market risk management.
  • Knowledge of financial markets and multiple assets classes (Fx, fixed income, equities, commodities).
  • Ability to work accurately under pressure to tight deadlines.
  • Strong inter-personal skills in order to interact confidently with senior management.

Responsibilities

  • Collateral Management, including validation of margin calls, seeking margin from counterparties and responding to their margin calls in a timely manner.
  • Ensure valuation statements are sent to all customers as per agreement in the legal documentation.
  • Escalate collateral disputes to Head of Middle office and Market Risk Management.
  • Perform portfolio reconciliation in a timely manner and highlight valuation issues to Head of Middle Office and Market Risk Management.
  • Ensure business operates within the approved bank policy.
  • Perform regulatory reporting in a timely manner.
  • Own projects pertaining to collateral management and client servicing.
  • Review collateral management documentation like CSA/GMRA/IM CTA that comes for MO review.
  • Work closely with several teams to achieve the role objective.
  • Coordinate with Middle office and Risk Control for daily validation of data, collateral, risk reports etc.
  • Collaborate with Market Risk Analytics for risk methodologies and market data.

Skills

Collateral Management
Margin Call Validation
Portfolio Reconciliation
Regulatory Reporting
Market Risk Management
Treasury Operations
Murex Platform
CSA/GMRA/IM CTA Review
Client Servicing
Financial Markets Knowledge
Process Improvement
Stakeholder Management
Risk Control
Product Control
Interpersonal Communication
Working Under Pressure

Education

Bachelor’s degree in finance or economics

Tools

Murex Platform

Job description

First Abu Dhabi Bank (FAB) in Abu Dhabi seeks a collateral management professional to support the Global Markets and Treasury collateral operations in line with Bank Policies and regulatory requirements.

The role emphasizes validating margin calls, processing settlements, and ensuring timely regulatory reporting. Collaboration with risk, middle office, and finance teams is essential, with a focus on process improvements using Murex as a key enabler.

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