Collateral Management Analyst

Nomura

New York (NY)

On-site

USD 120,000 - 130,000

Full time

14 days+

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Job summary

Nomura seeks an Associate in the Collateral Management group within Finance in New York. The role focuses on dispute resolution, reconciliations, and collaboration with Global Markets, Middle Office, and Risk teams to address client inquiries.

You will interface with Front Office, Counterparty/Market Risk teams and settlements, supporting regulatory projects and ongoing margin requirements while contributing to daily trade-dispute reporting and risk management processes.

Qualifications

  • 3–5 years collateral management experience.
  • Strong understanding of OTC derivatives and repo markets.
  • Working knowledge of margin regulations.
  • Knowledge of ETF space within equities is a plus.
  • Understanding of legal, credit and operational risks.
  • Risk & control experience is a plus.
  • SIE & Series 99 is required.

Responsibilities

  • Dispute resolution and reconciliations
  • Partner with Global Markets, Middle Office, and Risk teams to address client queries
  • Interface with Front office and Counterparty/Market risk teams
  • Work with various settlement groups to ensure proper cash and security movements
  • Engage in projects focusing on regulatory requirements and internal optimization
  • Provide daily/weekly reporting on trade dispute metrics
  • Participate in projects related to ongoing regulatory requirements facing the industry
  • Interface and liaison with Front/Middle teams and the Risk Group regarding Regulatory and House Margin requirements
  • Maintenance of Supervisory Procedures

Skills

Dispute resolution
Reconciliations
Regulatory awareness
Risk & Controls

Education

SIE
Series 99

Job description

Nomura seeks an Associate in the Collateral Management group within Finance in New York. The role focuses on dispute resolution, reconciliations, and collaboration with Global Markets, Middle Office, and Risk teams to address client inquiries.

You will interface with Front Office, Counterparty/Market Risk teams and settlements, supporting regulatory projects and ongoing margin requirements while contributing to daily trade-dispute reporting and risk management processes.

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