trading, risk, and operations teams to meticulously gather and document intricate business requirements. Calypso Configuration Guru: Configure the Calypso system to meet diverse functional needs, including trade capture, lifecycle management, and settlements. Implementation & Support: Provide crucial functional support for Calypso implementations, upgrades, and ongoing BAU enhancements. Testing & Quality Assurance: Conduct thorough functional testing, provide UAT support, and assist QA … Income (FI), Foreign Exchange (FX), and Money Market (MM) instruments and their end-to-end trade lifecycle. Calypso Modules: Proven experience with Calypso Trade Workflows, Trade Capture, Settlement, Confirmations, CollateralManagement, and Risk modules. Calypso BO Configuration: Familiarity with Calypso BO configuration, Event Templates, Task Station, and Accounting Rules. Location: London, UK Experience: 7-10 Years Level: B3 More ❯
later). Strong functional knowledge of Fixed Income (FI) , Foreign Exchange (FX) , and Money Market (MM) instruments and trade lifecycle. Experience in Calypso Trade Workflows , Trade Capture , Settlement , Confirmations , CollateralManagement , and Risk modules . Familiarity with Calypso BO configuration , Event Templates , Task Station , and Accounting Rules . Excellent understanding of Front to Back trade flows and STP … trading and risk systems. Prior experience in Calypso to Cloud migration or system upgrades . Knowledge of scripting (SQL, Python) for data analysis and troubleshooting. Strong communication and stakeholder management skills. Certifications (Good to Have): Calypso Certification ITIL Foundation Capital Markets certifications (CFA Level 1, NISM, etc. More ❯
such as exposures with at least 5-8 years of hands-on implementation experience. Good understanding of other key credit risk concepts such as PFE, xVA, compliance rules and collateralmanagement Functional knowledge of different financial products and valuation methodologies covering various asset classes, e.g., vanilla IRS, CCS, FX Forward etc. Exposure to and understanding of different regulatory More ❯
products. Knowledge about OTC derivatives , risk and technical ability is desirable. Good written and verbal communication skills in French and English are a must. Candidates with prior experience of collateralmanagement, fund administration and/or regulatory are especially welcome to apply for the position. The Client Services team is the first line of contact for our clients … enhanced functionalities to the service as well as other new service offerings. In summary, Client Services is responsible for pre-sales and client on-boarding, service delivery, customer success management as well as workflow/product and productivity improvements on the tech add on service. This can only be delivered in close collaboration with Business Management, Product Management … handling Review reconciliation output; investigate and fix differences Ensure structured and effective delivery of service Self- education about current and upcoming market regulations and other significant changes Customer Success Management Assisting the Customer Success team where required Productivity/Workflow Improvements Discuss internal requests for new functionalities to improve the product offering with Associate and Senior Associate Client Managers More ❯
City of London, London, United Kingdom Hybrid / WFH Options
X4 Technology
Role: Contract Business Analyst (Credit Risk) Domain: Energy & Commodities Trading Project: Credit Risk (collateralmanagement, margining, counterparty exposure risk management) Location: London (hybrid) Rate: £700-800/d (inside IR35) Contract: 6 months (multi-year scope) X4 Technology are partnered with a global energy trading offering a contract Business Analyst (Credit Risk) to join their dynamic team. … This role focuses on collateralmanagement, margining and counterparty exposure risk management within commodity trading. You will play a key part in analysing data, managing exposure reporting and bridging the gap between business needs and technical solutions. Responsibilities of the Contract Business Analyst (Credit Risk) Analyse and interpret data for exposure reporting and risk management Document … clear technical specifications for development teams Perform data analysis using advanced Excel and SQL Requirements of the Contract Business Analyst (Credit Risk) Proven BA experience in Credit Risk processes (collateralmanagement, margining, counterparty exposure risk management) Strong hands-on data analysis with advanced SQL and Excel Experience implementing credit risk management systems (eg Energy Credit, CubeLogic More ❯
We are seeking an experienced TLM Consultant to support, upgrade, and optimize a collateralmanagement platform within an Investment Bank. You will play a key role in enhancing processes related to OTC derivatives, repos, and securities lending, working across technical design, configuration, and stakeholder engagement. Key Responsibilities Act as the technical SME for Transactional Lifecycle Management (TLM … with internal teams and vendors to address inefficiencies and implement improvements. Develop and maintain SQL extracts and stored procedures; improve batch processing resilience. Skills & Experience Proven experience with TLM CollateralManagement , particularly in upgrades and support. Strong understanding of collateral processes for OTC derivatives, repos, and stock borrowing/lending. Hands-on experience configuring IIS websites , SQL More ❯
financial controls of a fast-paced digital bank. ⭐ What You’ll Do Own the daily control processes for Treasury products — including trade confirmations, valuation controls, P&L reporting, and collateral management. Support a fast and accurate month-end close process, including hedge accounting and derivative reporting. Work closely with the Treasury team on all market execution activities and help More ❯
is a high-exposure role within a small, technically capable operations group supporting a multi-asset, multi-venue trading environment. You’ll work across reconciliations, trade support, cash and collateralmanagement, and process automation—helping ensure the firm’s global trading infrastructure runs smoothly and scales efficiently. Ideal for someone who thrives in a fast-moving, engineering-first … and trading activity Manage broker and exchange relationships, resolve operational issues Monitor live risk and escalate accordingly Develop and maintain automated tools (Python, Go, SQL) Support cash, margin, and collateral flows across multiple venues Handle reporting: P&L, risk, treasury, and regulatory checks Participate in the team’s on-call support rota Support onboarding of new products, brokers, and More ❯
benefits, AWS, Docker, Kubernetes, Terraform, CI/CD, Python/Bash Join a rapidly growing FinTech company that is redefining institutional digital asset infrastructure. With a focus on custody, collateralmanagement, and prime services, this organisation leverages advanced cryptographic technology to offer secure, low-latency trading and settlement solutions for global institutions. This is a unique opportunity to More ❯