Collateral Management Analyst, Prime Margin & Risk

Barclays

Hanover Township (IL)

On-site

USD 64,000 - 87,000

Full time

14 days+
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Job summary

Barclays is seeking a Collateral Management Analyst – Prime Margin in Whippany, NJ. The role focuses on monitoring trading exposure with counterparties, ensuring collateral is collected and maintained, and coordinating with Prime Brokerage, Settlements and Operations to manage margin calls efficiently.

The successful candidate will have experience in financial services operations, middle office, and risk & controls, with additional value from collateral management and related areas.

Qualifications

  • Financial Services (Operations) background.
  • Middle office experience.
  • Risk and Controls experience.
  • Collateral Management (preferred).
  • Prime brokerage experience (value add).
  • Margins experience (value add).
  • Cash wires and payments experience (value add).

Responsibilities

  • Lead and supervise the team or act as an advisor where appropriate.
  • Partner with Prime Brokerage, Settlements and Operations to manage margin calls.
  • Monitor trading exposure with counterparties and ensure collateral is collected and maintained.
  • Develop risk controls and embed new policies to mitigate risk.
  • Communicate findings and guidance to internal stakeholders.

Skills

Financial Services
Middle office
Risk & Controls
Collateral Management
Prime brokerage
Margins
Cash wires

Job description

Barclays is seeking a Collateral Management Analyst – Prime Margin in Whippany, NJ. The role focuses on monitoring trading exposure with counterparties, ensuring collateral is collected and maintained, and coordinating with Prime Brokerage, Settlements and Operations to manage margin calls efficiently.

The successful candidate will have experience in financial services operations, middle office, and risk & controls, with additional value from collateral management and related areas.

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