Collateral Management Specialist – Singapore

Goldman Sachs

Singapore

On-site

SGD 120,000 - 180,000

Full time

7 days ago
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Job summary

Goldman Sachs in Singapore is seeking an Associate in Collateral Management focused on mitigating counterparty credit risk through process reengineering and operational improvements. The role requires strong Collateral Management or Derivatives experience and a proactive approach to highlight inefficiencies and risks while delivering high service levels.

The role involves close collaboration with Credit Risk, Legal, Sales, Trading, Risk Management and Operations.

Qualifications

  • Demonstrated problem-solving skills, with the ability to identify solutions and investigate issues in detail.
  • Effective written and verbal communication skills to interact with clients and stakeholders.
  • Strong organization and prioritization to manage changing priorities in a dynamic environment.
  • Proficiency in Microsoft Excel, including macros and advanced functions.

Responsibilities

  • Provide oversight across Issuance, Bookings & Controls.
  • Coach and train team members for ongoing development.
  • Serve as first point of escalation for client inquiries and issues.
  • Resolve client disputes and regulatory queries as appropriate.
  • Support new client onboarding activities.
  • Collaborate with Credit, Sales, Trading, Legal, Front Office and Settlements to resolve collateral issues.
  • Perform portfolio reconciliations and collateral optimization activities.
  • Manage monthly interest and coupon settlements.
  • Execute control functions to ensure process integrity.

Skills

Problem-solving
Communication skills
Organizational skills
Excel proficiency

Job description

Goldman Sachs in Singapore is seeking an Associate in Collateral Management focused on mitigating counterparty credit risk through process reengineering and operational improvements. The role requires strong Collateral Management or Derivatives experience and a proactive approach to highlight inefficiencies and risks while delivering high service levels.

The role involves close collaboration with Credit Risk, Legal, Sales, Trading, Risk Management and Operations.

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