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APAC Collateral Operations is responsible for the margin call and collateral management activity for all clients and counterparties across the following products - OTC Bilateral, OTC Cleared, Exchange Traded Derivatives, Repo and Prime Brokerage
This role is part of the regional management team and expected to manage, either directly or indirectly, all of the project activity in the region.
This can range from minor enhancements through to strategic initiatives working on enhancing the infrastructure as we look to move across to our target platform.
In addition, a large component will be to working on the build out of the operational aspects of collateral optimisation looking at how we can more effectively utilise the collateral we hold to meet our margin requirements
Perform management reporting
Identify anomalies and ensure complete and timely issue resolution
Dealing with senior stakeholders globally
Strong experience in F&O collateral, OTC collateral
Strong project management skills and background in handling global projects. Ideally PMP certified.
Prior experience of cross product exposure such as OTC, Prime Brokerage and Repo Margining is an advantage
Strong communication skills, risk and control mindset and leadership skills
Independent and motivated to excel
Experience in handling regulatory and audit requests
Experience in handling complex margin dispute and issue resolution