Collateral Management Analyst: Risk & Reconciliation

Goldman Sachs

Singapore

On-site

SGD 65,000 - 90,000

Full time

15 hours ago
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Job summary

The Goldman Sachs Global Markets division is seeking an Analyst in Collateral Management to mitigate counterparty credit risk through operational process improvements and effective cross-team collaboration. You will work with Credit Risk, Legal, Sales, Trading and Middle Office to ensure accurate collateral management across asset classes.

Ideal candidates have 1+ year of relevant experience, strong communication, Excel proficiency, and a proactive mindset to identify inefficiencies and

Qualifications

  • Minimum 1 year of relevant professional experience.
  • Demonstrated problem-solving skills with ability to identify solutions.
  • Experience or exposure to portfolio reconciliations and margin calls is advantageous.
  • Effective written and verbal communication with internal/external stakeholders.
  • Strong organizational and prioritization skills in a dynamic environment.
  • Proficiency in Microsoft Excel or ability to learn Excel macros.

Responsibilities

  • Provide oversight across the team on Issuance, Bookings & Controls.
  • Provide training and coaching to team members for development.
  • Act as first escalation point for client inquiries and issues.
  • Resolve disputes and regulatory queries as appropriate.
  • Support new client onboarding activities.
  • Liaise with Credit, Sales, Trading, Middle Office, Legal, Front Office, Settlements, and Corporate Treasury to resolve collateral issues.
  • Perform portfolio reconciliations.
  • Support collateral optimization activities.
  • Manage monthly interest and coupon settlements.
  • Perform control functions to ensure integrity of processes.

Skills

Problem solving
Communication
Organizational skills
Microsoft Excel
Client focus
Portfolio reconciliations

Job description

The Goldman Sachs Global Markets division is seeking an Analyst in Collateral Management to mitigate counterparty credit risk through operational process improvements and effective cross-team collaboration. You will work with Credit Risk, Legal, Sales, Trading and Middle Office to ensure accurate collateral management across asset classes.

Ideal candidates have 1+ year of relevant experience, strong communication, Excel proficiency, and a proactive mindset to identify inefficiencies and

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