Business Analyst _ Collateral Management
- CFA or FRM certification (Level I/II/III).
- Proven experience as Business Analyst in:
- Collateral Management, OR
- Regulatory Reporting (Securities Finance / Secured Financing).
- Strong understanding of:
- REPO and Reverse REPO operations.
- Collateral lifecycle: margin call, settlement, substitution, dispute management, reconciliation.
- Securities Lending & Secured Finance regulations.
- Market Risk, Credit Risk, and Operational Risk associated with securities finance.
- Handson proficiency in:
- SQL
- AWS (S3, Glue, Lambda, Redshift, or related components).
- Excellent analytical, problem-solving, and documentation skills.
- Strong stakeholder management & communication skills.
- Experience with data analysis, reporting tools, and workflow optimization.
Preferred Skills
- Experience with Collateral Management systems such as Apex, TriOptima, Murex, Calypso, OneMargin, or equivalent.
- Familiarity with regulatory standards: SFTR, BCBS, Basel III/IV, EMIR, or other secured finance reporting frameworks.
- Exposure to Python, Power BI/Tableau, or automation environments.
- Knowledge of trade lifecycle across fronttoback securities financing.
Experience
- 5 to 12 years in Banking/Capital Markets/Financial Services with a strong collateral or regulatory reporting background.