Our client, a global insurance and risk solutions platform, is seeking a Senior Collateral Analyst to support its Collateral Management function. This full-time role is based in Connecticut and offers a hybrid schedule (three days in-office, two remote).
Responsibilities:
* Process daily margin calls, collateral movements, and substitutions in accordance with agreements and internal policies.
* Monitor and reconcile collateral balances across counterparties and custodians.
* Ensure accurate valuation, allocation, and reporting of collateral assets.
* Support requirements gathering for collateral workflows, systems, and controls.
* Document current and future-state processes and assist with gap analysis.
* Prepare and execute UAT test scripts for system enhancements and new platform implementations.
* Participate in testing cycles, document findings, and escalate issues as needed.
* Prepare daily and weekly collateral exposure and margin reporting.
* Develop dashboards and trend analysis to monitor liquidity and counterparty exposure.
* Assist with regulatory reporting, audit documentation, and compliance reviews.
* Contribute to process improvements and the build-out of operational controls.
Skills Required:
* 4+ years of experience in collateral management, middle office, or investment operations within financial services.
* Direct experience performing daily collateral and margin operations (required).
* Understanding of derivatives, fixed income, repos, or securities lending products.
* Familiarity with regulatory frameworks such as EMIR or Dodd-Frank preferred.
* Strong proficiency in Microsoft Excel and the broader Microsoft Office suite.
* Detail-oriented with strong risk awareness and operational control mindset.
For more information, please apply or reach out to [email protected]
