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Repo Collateral Management |
|---|
Banking and Finance |
in London City |
| A role has emerged within the Repo Collateral department of a top tier Investment bank.
The Repo Margin management team is responsible for ensuring that credit exposure is within documented limits on a daily basis, and the successful candidate joining this team will be required to assist in the daily margin calls process, ensuring that all margin levels and exposures are kept within the banks credit limits. You will also respond to and resolve queries received from both internal clients (Credit & Govt Repo trading desks, Credit and other Operational areas) and external clients (A diverse range of Financial Institutions, Governmental bodies and Hedge Funds across Europe); identify issues at the earliest stages and escalate appropriately; improve processes and participate where necessary in project work. The ideal candidate will have 1-2 years experience within Fixed Income markets with a strong understanding of Fixed Income applications, solid numerical ability and able to work to procedures and the high standards required by margin management. |
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