Collateral Management Analyst - Prime Margin Specialist

barclays

United States

On-site

USD 64,000 - 87,000

Full time

14 days+
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Benefits offered by this job

Medical, dental & vision coverage
401(k)
Paid leave
Incentive award eligibility

Job summary

Barclays is seeking a Collateral Management Analyst – Prime Margin to monitor trading exposure, ensure collateral is maintained, and work with Prime Brokerage, Settlements, and Operations teams across global offices. This client-facing role emphasizes risk management, attention to detail, and superior service delivery.

The role requires strong knowledge of collateral management, risk and controls, and experience in middle office operations, with opportunities to collaborate globally from

Qualifications

  • Experience in financial services operations.
  • Strong understanding of risk and controls.
  • Experience with collateral management is preferred.

Responsibilities

  • Support day-to-day processing, reviewing, reporting, trading, and issue resolution.
  • Collaborate with cross-functional teams to align operational processes.
  • Develop and implement procedures and controls to mitigate risk and improve efficiency.
  • Create reports and presentations on operational performance for senior stakeholders.
  • Monitor industry trends to implement best practices in banking operations.

Skills

Financial services operations
Middle office experience
Risk and controls
Collateral management

Job description

Barclays is seeking a Collateral Management Analyst – Prime Margin to monitor trading exposure, ensure collateral is maintained, and work with Prime Brokerage, Settlements, and Operations teams across global offices. This client-facing role emphasizes risk management, attention to detail, and superior service delivery.

The role requires strong knowledge of collateral management, risk and controls, and experience in middle office operations, with opportunities to collaborate globally from

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