Prime Margin Collateral Analyst - Client Risk & Service

Barclays

New Jersey

Hybrid

USD 64,000 - 87,000

Full time

4 days ago
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Benefits offered by this job

Medical, dental and vision coverage
401(k)
Life insurance
Paid leave

Job summary

Barclays is seeking a Collateral Management Analyst – Prime Margin in Whippany, NJ to support risk management for prime brokerage clients. You will monitor trading exposure, ensure collateral is collected and maintained, and collaborate with Prime Brokerage, Settlements and Operations to manage margin calls.

The role involves working with internal and external stakeholders across global teams, maintaining strong controls, executing accurate exposure calculations, and delivering exceptional

Qualifications

  • Financial Services (Operations)
  • Middle office experience
  • Risk and Controls experience
  • Collateral Management (preferred)

Responsibilities

  • Support day-to-day processing, reviewing, reporting, trading and issue resolution.
  • Collaboration with teams across the bank to align and integrate operational processes.
  • Identification of areas for improvement and providing recommendations in operational processes.
  • Development and implementation of operational procedures and controls to mitigate risks and maintain operational efficiency.
  • Development of reports and presentations on operational performance and communicate findings to internal senior stakeholders.
  • Identification of industry trends and developments to implement best practice in banking operations.
  • Participation in projects and initiatives to improve operational efficiency and effectiveness.

Skills

Financial Services (Operations)
Middle office experience
Risk and Controls experience
Collateral Management

Job description

Barclays is seeking a Collateral Management Analyst – Prime Margin in Whippany, NJ to support risk management for prime brokerage clients. You will monitor trading exposure, ensure collateral is collected and maintained, and collaborate with Prime Brokerage, Settlements and Operations to manage margin calls.

The role involves working with internal and external stakeholders across global teams, maintaining strong controls, executing accurate exposure calculations, and delivering exceptional

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