Collateral Management Jobs in the UK

1 to 25 of 27 Collateral Management Jobs in the UK

Enterprise Business Analyst

London, United Kingdom
却潮敘
under your control/analysis. This list of duties and responsibilities is not intended to be all-inclusive and can be expanded to include other duties or responsibilities that management deems necessary. Qualifications To land this role you will need : 7+ Years experience leading analysis on complex cross-functional projects in Prime Brokerage, Investment Banking, or Capital Markets. Strong … understanding of trade lifecycle, settlements, collateral management, and client onboarding and financial instruments (equities, bonds, derivatives). Familiarity with IT systems used in Prime Brokerage (e.g., trade capture, EMS/OMS, risk platforms, reconciliation, and client reporting platforms). Experience working on regulatory (e.g. Basel III, Dodd Frank, MiFID II) and operational change projects. Presenting and explaining complex … the subject. Proficiency in data analysis tools (e.g. Excel, SQL) and business process modelling (e.g. Visio) Working with commercial and delivery stakeholders to develop Business Cases. Excellent communication stakeholder management, and problem-solving skills. What makes you stand out: Experience with platforms such as FIS Phase 3/Front Arena, TOMS, IRESS, MureX or Fidessa. Agile/scrum and More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Calypso Functional SME

London, United Kingdom
FINTEC recruit Ltd
expert (SME) in Calypso for FI, FX and MM products Responsibilities: Working with traders, risk, and operations teams. Configure Calypso system as per functional needs including trade capture, lifecycle management, and settlements. Provide functional support for Calypso implementation, upgrades, and BAU enhancements. Conduct functional testing, UAT support, and assist QA teams in defining test cases. Coordinate with development teams … 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, Collateral Management, 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 processes. Good … other 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. Full details for the Calypso Functional SME role is available on application. To apply please submit your current CV or apply via our FINTEC recruit website More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Senior Quantitative Analyst, Global Quantitative Research

London, United Kingdom
Intercontinental Exchange Holdings, Inc
to interest rate derivatives, equity derivatives, credit derivatives and commodity derivatives. A strong background in programming, derivatives pricing and theory is preferred. Responsibilities Drive clearing house margin, stress and collateral management models R&D. Define business requirements and specifications for model upgrades and enhancements. Perform risk analysis and develop risk solutions for various products across all asset classes. … deadlines. Great attention to detail with ability to work independently and as part of a team. Excellent oral and written communication skills. Capable to articulate complex concepts to senior management on a regular basis. Strong mathematical knowledge of financial derivatives pricing and risk management models preferred. More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Derivatives Onboarding Analyst

United Kingdom
Redimeer
About the job About Us: Our client are a dynamic and innovative fintech company specialising in collateral management solutions for the derivatives market. Their cutting-edge technology empowers financial institutions to manage risk, optimise operations, and enhance transparency in the fast-paced trading ecosystem. Based in London, we serve a global clientele, including banks, asset managers, and clearing … join a supportive team eager to nurture your development and offer new opportunities at every stage. You'll interact with and learn from people across various functions, including relationship management, software development, and product strategy. The work you do will have a direct impact on clients, providing measurable value from day one. What we are looking for: Proven problem … and external stakeholders. A degree in a quantitative or analytical field (e.g., Economics, Maths, Finance) from a top university in recent years. Knowledge of derivatives markets, products, and risk management, with a desire to deepen this expertise. A detail-oriented mindset with a curiosity about the 'why' behind your work. Comfort with changing priorities and adeptness at context-switching. More ❯
Posted:

Collateral Management Developer (h/f)

London, United Kingdom
emagine
TLM Collateral Management Developer Salary/Rate: £575 per day INSIDE Location - London, 5 days per week in the office emagine is a high-end professional services consultancy and solutions firm Specialising in providing business and technology services to the financial services sector, we power progress, solve challenges and deliver real results through tailored high-end consulting services … Confident, Dedicated, Responsible, Genuine. The main focus of the role is to support the business and the projects business analysts to understand and resolve issues being faced by the collateral management team, new projects and initiatives, and an upgrade of the vendor solution as well as our in-house customizations. The key piece of software used by the … global team is TLM Collateral Management, providing margining functionality for OTC derivatives, repo, and SBL products. The candidate will need to be able to translate the team's issues into technical solutions that can be developed in-house or with customizations to the TLM Collateral Management system provided by the vendor. The project will require an More ❯
Employment Type: Contract
Rate: GBP 575 Daily
Posted:

Consultant/BA - Ex Big-4

East London, London, United Kingdom
RP Recruitment Ltd
tech/data/governance/), work on business requirements definition, vendor assessments and selection and the target operating model definition. Other skills needed: Test strategy, planning, scripting and management Operational readiness, including creation of operational procedures Go-live management Creation of high-value project artefacts PMO support, to ensure high-profile client engagements are kept on track … Project status tracking, project reporting, RAID management, project team communications, escalation Required Skills & Experience >5 years' experience within Financial Services at a Big 4 consultancy, or other major consultancies Successful completion of a Capital Markets graduate scheme at a Big 4 consultancy, or other major consultancy First-hand experience of derivatives or securities finance products First-hand experience of … one or more of the following domains: Collateral management Post-Trade (clearing, settlement, custody, etc) Digital (digital assets, AI, crypto) 2+ years' experience of Business Analyst responsibilities Excellent English skills, both spoken and content creation: Written and visual content Strong Microsoft Office application skills, in particular: Excellent PowerPoint skills Highly skilled in using Excel, including Pivot tables Strong More ❯
Employment Type: Permanent
Posted:

Consultant, Capital Markets, Operations & Domain Solutions, Technology & Transformation

London, United Kingdom
Hybrid / WFH Options
Deloitte LLP
and change experience within capital markets. This includes: Technical or business line experience in at least one key area in Capital Markets - e.g., Front Office, Client Onboarding, Reconciliations, Settlements, Collateral Management etc. Strong problem-solving skills with ability to clearly structure analysis Strong communication and interpersonal skills Advanced PowerPoint and Excel skills Change experience within a major Capital … Change: Knowledge of the UK and European financial regulatory environment. Practical understanding of first and second line of defence functions and their roles within the front-to-back risk management framework. This includes an understanding of non-financial risks (e.g., operational risk, conduct risk). Experience contributing to large regulatory remediation programmes (e.g., MIFID, Brexit, FRTB, T+1 accelerated settlement … programmes such as CFTC and EMIR Refit. Solid understanding of how technology architecture supports the full front-to-back (F2B) trade lifecycle, including knowledge of pre-trade systems, risk management systems, post-trade systems, etc. Experience in technology delivery and implementations, actively participating in key project stages. Practical experience working with agile methodologies. Ability to analyse large data sets More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Senior Quantitative Analyst

London, United Kingdom
Intercontinental Exchange Holdings, Inc
rate derivatives, equity derivatives, credit derivatives and commodity derivatives. A strong background in programming, stochastic calculus and probability theory is preferred . Responsibilities Drive clearing house margin, stress and collateral management models R&D. Define business requirements and specifications for model upgrades and enhancements. Build models to price ETD derivatives across all asset classes. Model volatility surface dynamics … by the organization. Knowledge and Experience PhD or MSc in Physics, Mathematics, Quantitative Finance, Statistics, or a relevant scientific field. Strong mathematical knowledge of financial derivatives pricing and risk management models. Excellent quantitative, analytical and problem-solving skills with solid knowledge of statistics, particularly time series analysis. Strong C++ and Python required. Capable of working under pressure within a … diverse team to accommodate tight deadlines. Great attention to detail with ability to work independently and as part of a team. Capable to articulate complex concepts to senior management on a regular basis. 2+ years of work experience in quantitative finance fields from financial institutions, with proven record designing or implementing quantitative finance models preferred Preferred Strong C++ knowledge More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Alpha - Middle Office, Product Solutions - Implementation Team Lead, Assistant Vice President

London, United Kingdom
STATE STREET CORPORATION
operations - freeing them to focus on innovation and growth. The State Street Alpha Middle Office Product Solutions team is looking for a qualified leader with strong experience in project management, analysis, system flows and business architecture to execute client implementations of the industry's first ever front-to-back client servicing platform. The successful candidate must be highly organized … product and platform SME on State Street's Front-to-back platform Organize and conduct implementation project status meetings, including communicating status to internal and external stakeholders, including senior management Education & Preferred Qualifications Bachelor's degree or above. 5+ years of financial industry experience across Front Office Operations, Transaction Management, Investment Recording Keeping, Corporate Actions, OTC Derivatives, Performance … Analytics, Reconciliation, Reporting, Cash Management and Collateral Management Experience integrating with other industry software providers to promote platform interoperability Prior experience leading large scale client conversions and onboarding efforts in the financial industry Strong problem solving and project management skills Ability to work on multiple projects concurrently and prioritize work accordingly Excellent analytical and interpersonal skills More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Software Engineering - Controllers - Vice President - Birmingham

Birmingham, Staffordshire, United Kingdom
Out in Science, Technology, Engineering, and Mathematics
What we do? Client Asset Protection - Client Assets Engineering is at the core of Client Protection and Collateral Management functions for Goldman Sachs globally. Our platform manages the segregation of customer assets, implements complex optimization calculations, and controls across various business functions and asset classes, all governed and monitored by regulations across jurisdictions such as US-SEC/… investment banking or financial instruments. Experience with big data concepts, such as Hadoop for Data Lake. Experience with near real-time transactional systems like Kafka. Experience in Business Process Management (BPM). About Goldman Sachs At Goldman Sachs, we dedicate our people, capital, and ideas to help our clients, shareholders, and communities grow. Founded in 1869, we are a … leading global investment banking, securities, and investment management firm headquartered in New York with offices worldwide. We value diversity and inclusion, offering numerous opportunities for professional and personal growth through training, development programs, benefits, wellness, and mindfulness initiatives. Learn more at We are committed to providing reasonable accommodations for candidates with disabilities during our recruiting process. Details available at More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Calypso Functional SME

Central London, London, England, United Kingdom
Parkside Office Professional
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, Collateral Management, 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 ❯
Employment Type: Full-Time
Salary: £90,000 - £100,000 per annum
Posted:

Murex Business Analyst

London Area, United Kingdom
Norton Blake
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 collateral management 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 ❯
Posted:

Murex Business Analyst

City of London, London, United Kingdom
Norton Blake
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 collateral management 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 ❯
Posted:

Director of Treasury (Collateral Management / Repo)

London, South East, England, United Kingdom
Montpellier Resourcing
growth, a fantastic opportunity has arisen for a Treasury Director to join a leading City based Trading House. You will be responsible for all treasury operations, encompassing cash and collateral management, risk management and fostering relationships with clearing members, investment partners, custodians, and banks. This role involves strategic investment and collateral management, and robust financial … risk oversight (market, credit, liquidity). The Director drives departmental strategy, stakeholder engagement (board, management, regulators), reporting, data management, and operational risk mitigation. Key Responsibilities of the Treasury Director to include: Oversee daily treasury functions, ensuring accuracy in payments, collateral movements, investments, and reconciliations. Provide operational guidance and support. Building out of the Repo Business and management of settlement processes Lead strategic treasury initiatives as directed by senior management and the board. Manage technology projects related to treasury operations. Cultivate strong relationships with service providers, counterparties, and stakeholders. Maintain relationships with financial institutions. Manage and test the default management and business continuity plans. Required Skills and Experience of the successful Treasury Director: Extensive experience More ❯
Employment Type: Full-Time
Salary: £160,000 - £190,000 per annum
Posted:

Derivates Operations Collateral Analyst

London, United Kingdom
Pension Corporation
We have a great opportunity for a Derivatives Operations Analyst responsible for daily collateral management activities as well as oversight of outsourced collateral management activities. You will collaborate with PIC's Investments and Finance teams to secure their buy-in and implement improvements to systems, processes, and technology, as appropriate. Responsibilities Daily collateral management together with oversight of outsourced collateral management activities including reconciliation and resolving of failed settlements. Work with counterparties and reference CSAs and valuation sources to assist in the resolution of collateral disputes. Oversee that posted collateral portfolio is consistently optimal and initiate substitutions in the event it is sub-optimal. Involvement in change initiatives; specifically … around design and documentation of new collateral processes. Provide support to PIC's Investment Team (Markets Solutions) dealing desk, managing post-trade activities as well as change requests to support new business requirements. Perform daily liquidity management processes, ensuring accurate and timely information is available for Portfolio Managers. Effectively collaborate with the team, outsourced service providers and the More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Business/Project Analyst (12 Month Fixed Term Contract)

London, United Kingdom
Millennium Management LLC
Fixed Term Contract) Department: Operations & Middle Office Location: London The Operations and Middle Office team at Millennium handle critical functions such as trade processing, corporate actions, financing, cash and collateral management, and regulatory reporting, ensuring seamless execution and risk mitigation across trading activities. They also oversee P&L reporting, valuations, data management, and strategic initiatives while maintaining … Tech teams to analyze large data sets for actionable insights. Ad Hoc Projects: Manage projects, refine process flows, and oversee desk space allocation and travel budget tracking. License & Permission Management: Manage user permissions, shared drives, and license usage to ensure compliance and efficiency. SOP Management: Maintain and update Standard Operating Procedures (SOPs) for accuracy, consistency, and accessibility. Qualifications … Experience in business analysis, project management, or a related field. Strong analytical and organizational skills. Proficiency in creating reports and presentations. Ability to manage multiple projects and meet deadlines. Excellent communication and collaboration skills. More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Contract Business Analyst (Credit Risk)

London Area, United Kingdom
Hybrid / WFH Options
X4 Technology
Role: Contract Business Analyst (Credit Risk) Domain: Energy & Commodities Trading Project: Credit Risk (collateral management, 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 collateral management, 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 (collateral management, 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 ❯
Posted:

Contract Business Analyst (Credit Risk)

City of London, London, United Kingdom
Hybrid / WFH Options
X4 Technology
Role: Contract Business Analyst (Credit Risk) Domain: Energy & Commodities Trading Project: Credit Risk (collateral management, 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 collateral management, 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 (collateral management, 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 ❯
Posted:

Managing Director, Global Head of Investor Services Technology - C16

London, United Kingdom
Citigroup Inc
Role: Global Head of Investor Services Technology The Global Head of Investor Services Technology is part of the Services Technology Senior Management Team and is responsible for the day-to-day activities and strategic Technology development of Citi's Investor Services functions, which include Custody, Fund Services and Execution Services businesses. The Investor Services Technology Head will be responsible … office, transfer agency, fiduciary services and ETF services. Execution Services: supports our global clients with a suite of value-added services, including agency securities lending, foreign exchange solutions, and collateral management As we continue to grow and evolve our global businesses, there is a strong mandate to ensure provision of world class IT delivery and operations, supported with … value: Highly visible strategic leadership role with senior level contact across CIO and the businesses Senior client representative of Citi engaging with senior members of client organization Leadership and management of vast and diverse people and process footprint Knowledge/experience: The successful candidate will be a commercially minded, business technology executive who can partner effectively with other senior More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Senior Product Control Analyst London

London, United Kingdom
Hybrid / WFH Options
Monzo
product control capabilities in Finance, helping support Treasury with all market execution activity. Take ownership of the daily control processes around Treasury products, including trade confirmations, trade market matching, collateral management, daily profit and loss reporting, valuation controls around Treasury financial instrument pricing and helping to build out best-practice, scalable controls. Help manage a tight process with … Finance team to ensure a swift month-end close process for Treasury reporting, including derivative and hedge accounting processes. Understand the Treasury business and their products to write insightful management commentary. Work with our engineers and data teams to automate the production elements of this role, allowing you to focus on the parts of the role where your knowledge … our Financial Reporting squad. Review new Treasury products, assessing the accounting and implementing them in our banking platform and accounting system; including configuration of account mapping in our Treasury Management system. Work with 2LoD and 3LoD to develop a robust control environment. Prepare monthly management and ad-hoc reports, offering meaningful analysis of movements. Resolve miscellaneous inquiries and More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Counsel, Institutional Legal - Financing

United Kingdom
Hybrid / WFH Options
P2P
kind, highly-tailored agreements with strategic partners and sophisticated counterparties in the institutional financing space with specific focus on our trade finance, portfolio margining, bilateral lending, agency lending, and collateral products. Provide full product life-cycle counseling for a variety of global prime brokerage, custody and derivatives related products, and practical advice on associated legal issues and risks, complex … dealer/asset manager) or in a law firm supporting such clients. Strong negotiation skills and ability to review and negotiate financial agreements (e.g. prime brokerage, financing/lending, collateral management, and derivatives documentation). Interest in digital currency and blockchain technology. Experience working and leading with cross-functional, globally located teams. Familiarity with US regulatory regimes applicable … ownership from start to finish. Team-oriented and collaborative. Nice to haves: Experience working with product teams launching fintech, financial services, investment or similar products. Experience registering and perfecting collateral arrangements. Experience with bankruptcy rules and regulations. Experience with cross-border analysis Experience with Edgar and analyzing regulatory filings. Job #: P65969 Pay Transparency Notice: The target annual salary More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Product Manager - Data and Analytics

London, United Kingdom
Hybrid / WFH Options
Copper Technologies
Since being founded in 2018, Copper has been building the standard for institutional digital asset infrastructure with a focus on custody, collateral management, and prime services. Led by Amar Kuchinad, Copper's Global CEO, the firm provides a comprehensive suite of custody, trading and settlement solutions that reduce counterparty risk and bring greater capital and operational efficiency to More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

RippleX Partner Director

London, United Kingdom
Archa
to see your impact and unlock incredible career growth opportunities, join us, and build real world value. THE WORK: Are you a strategic leader with deep experience in relationship management and a passion for tokenization, institutional finance, and blockchain technology? As a Senior Partner Manager on the RippleX Partner Success team, you'll play a key role in accelerating … with a focus on innovation and emerging tech. Institutional Finance Acumen: Deep understanding of financial instruments and market structure (equities, bonds, repos, collateralized lending, etc.). Strong grasp of collateral management, capital efficiency, and how DeFi can impact these processes. Familiarity with regulatory frameworks (Basel III, MiFID, EMIR, etc.) and how they relate to tokenisation and digital asset … guide partner implementation across the asset lifecycle. Blockchain Fluency: Deep understanding of blockchain fundamentals and how they can be applied to financial use cases such as tokenization, settlement, and collateral management. Ability to evaluate different protocol features (e.g., scalability, finality, cost, security) and articulate how they impact institutional DeFi applications. Experience advising on interoperability protocols and bridging technologies (e.g. More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Financial Accountant - Switzerland

London, United Kingdom
SLAMcore
Since being founded in 2018, Copper has been building the standard for institutional digital asset infrastructure with a focus on custody, collateral management, and prime services. Led by Amar Kuchinad, Copper's Global CEO, the firm provides a comprehensive suite of custody, trading and settlement solutions that reduce counterparty risk and bring greater capital and operational efficiency to … partner of choice for institutions seeking to safeguard their assets. DEPARTMENT/TEAM PURPOSE: Copper's finance team provides critical information to the company's leadership to facilitate effective management, strategic decision making and provide insights into key data and metrics driving our businesses growth. Our team has several disciplines including Finance Operations, Accounting, Financial Planning & Analysis, Tax, Revenue … important role in supporting the wider business through day-to-day operations (commercial deal support, invoice processing, cash collection, etc.), regular reporting (budget v actuals, forecasting, cash and liquidity management etc.), performance management (KPI, sales metrics and financials) and other specialised activities (tax compliance/structuring, vendor selection etc.). Our team's goal is to be a More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Technical Content Manager

London, United Kingdom
Hybrid / WFH Options
Copper Technologies
Since being founded in 2018, Copper has been building the standard for institutional digital asset infrastructure with a focus on custody, collateral management, and prime services. Led by Amar Kuchinad, Copper's Global CEO, the firm provides a comprehensive suite of custody, trading and settlement solutions that reduce counterparty risk and bring greater capital and operational efficiency to More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:
Collateral Management
10th Percentile
£87,500
25th Percentile
£91,250
Median
£100,000
75th Percentile
£106,250
90th Percentile
£108,500