Senior Collateral Risk Analyst - Hybrid Toronto

Spectraforce

Toronto

Hybrid

CAD 90,000 - 130,000

Full time

29 hours ago
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Job summary

Spectraforce in Toronto seeks a Senior Analyst for Collateral Management to mitigate counterparty credit risk and optimize operations. You will monitor portfolios, issue collateral calls, and ensure accurate margin processing while collaborating with credit, middle office, legal, and treasury teams.

The ideal candidate has 5+ years in capital markets or collateral management, a strong fixed income background, and excellent communication. FRM/CFA are assets; post-secondary education required.

Qualifications

  • 5+ years of capital market or collateral management experience.
  • Strong fixed income background with knowledge of central clearing.
  • Excellent verbal and written communication; high attention to detail.

Responsibilities

  • Daily monitoring of client portfolios and issuing collateral calls to mitigate credit risk.
  • Ensure margin tickets are accurately entered into collateral systems.
  • Extensive interaction with clients and cross-functional teams (credit, legal, front office, settlements, treasury).
  • Conduct process reviews in line with Global Short-term Markets Policy; resolve collateral issues.
  • Support risk management by identifying inefficiencies and proposing improvements.

Job description

Spectraforce in Toronto seeks a Senior Analyst for Collateral Management to mitigate counterparty credit risk and optimize operations. You will monitor portfolios, issue collateral calls, and ensure accurate margin processing while collaborating with credit, middle office, legal, and treasury teams.

The ideal candidate has 5+ years in capital markets or collateral management, a strong fixed income background, and excellent communication. FRM/CFA are assets; post-secondary education required.

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