Permanent Collateral Management Jobs in London

1 to 25 of 33 Permanent Collateral Management Jobs in London

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:

ICM In-Business Quality Assurance - Credit Processes SVP

London, United Kingdom
Citigroup Inc
Institutional Credit Management (ICM) is a critical First Line of Defense (1LoD) function within Citi, responsible for end-to-end management of Wholesale Credit Risk (WCR). ICM spans multiple products, geographies, and client segments (including Wealth), ensuring that robust controls and disciplined credit risk processes are applied consistently across the firm. The In-Business Quality Assurance (QA … team within ICM independently assesses the effectiveness of Citi's credit risk execution. It reviews the quality of key credit processes-such as underwriting, documentation, collateral valuation, and approvals-and provides management with insights to drive risk mitigation, process improvement, and policy adherence. We are seeking a Senior Vice President to join the In-Business QA team, focusing … to the In-Business Quality Assurance - Credit Processes QA Head Key responsibilities include: Lead any of the execution of Quality Assurance Reviews (QARs) for coverage universe comprising of Transaction Management, Collateral Risk Management, Credit Risk Management Services and Wealth Loan Processing & Transaction Management functions, contributing to an improvement of controls and a reduction in residual More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Liquidity Risk

London, United Kingdom
Hybrid / WFH Options
Goldman Sachs Bank AG
to monitor, assess, and manage the risk of expected and unexpected events that may have an adverse impact on the firm. Risk professionals execute critical day-to-day risk management activities, lead projects and contribute to the ongoing advancement of a robust risk management program. FINANCE RISK (FR) Finance Risk is the independent risk management function responsible … for overseeing the firm's accrual rates and liquidity risk. We work closely with Global Banking and Markets, Asset and Wealth Management and Platform Solutions, as well as the broader Risk organization to provide independent risk assessment and oversight of the firm's risk taking. Key functions include: • Risk Oversight: Monitor, govern, and challenge Corporate Treasury execution activities, including … accrual rates risk management, liability management, cash & collateral management, funds transfer pricing, balance sheet usage, liquidity and funding projections • Risk Limit Governance: Setting risk appetite for Corporate Treasury, calibration of risk limits, sign-off on limits frameworks, and ongoing monitoring of limit utilization and remediation • Analytics: Monitoring of key risk measures and assessment of business drivers More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

VP - Project Manager - Operations

London Area, United Kingdom
dnevo Partners
institution is looking for an experienced Project Manager - Operations to lead complex operations change initiatives across both IT and non-IT domains. This role will deliver full lifecycle project management, spanning systems, process redesign, regulatory change, and business transformation. You’ll oversee planning, delivery, governance, reporting, and stakeholder management across a diverse portfolio of high-impact projects. Key … years delivering operations-related change projects within financial services. Deep knowledge of front-to-back processes across derivatives (IRD, FX Swaps/Forwards, FX Options), trade lifecycle, cash and collateral management, and transaction reporting. Proven ability to deliver business-critical change in complex regulatory and control environments. Strong experience in investment budget management, resource attestation, and benefit … tracking. Experienced in stakeholder management, governance design, conflict resolution, and change risk mitigation. Desirable Experience: Familiarity with front-office processes and banking regulations. Experience managing vendor contracts and procurement. Strong record of delivery across multiple projects in a matrixed environment. Track record in programme or portfolio delivery roles. Skills & Competencies: Project/Programme governance and delivery (Waterfall & Agile) Budget More ❯
Posted:

VP - Project Manager - Operations

City of London, London, United Kingdom
dnevo Partners
institution is looking for an experienced Project Manager - Operations to lead complex operations change initiatives across both IT and non-IT domains. This role will deliver full lifecycle project management, spanning systems, process redesign, regulatory change, and business transformation. You’ll oversee planning, delivery, governance, reporting, and stakeholder management across a diverse portfolio of high-impact projects. Key … years delivering operations-related change projects within financial services. Deep knowledge of front-to-back processes across derivatives (IRD, FX Swaps/Forwards, FX Options), trade lifecycle, cash and collateral management, and transaction reporting. Proven ability to deliver business-critical change in complex regulatory and control environments. Strong experience in investment budget management, resource attestation, and benefit … tracking. Experienced in stakeholder management, governance design, conflict resolution, and change risk mitigation. Desirable Experience: Familiarity with front-office processes and banking regulations. Experience managing vendor contracts and procurement. Strong record of delivery across multiple projects in a matrixed environment. Track record in programme or portfolio delivery roles. Skills & Competencies: Project/Programme governance and delivery (Waterfall & Agile) Budget More ❯
Posted:

Business Analyst (Prime/Securities)

London, United Kingdom
StoneX
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:

GBM - Public - Collateral and Margin - Analyst - London

London, United Kingdom
WeAreTechWomen
JOB SUMMARY An employee within MCVO-Cleared Collateral will primarily be focused on the mitigation of counterparty credit risk through the performance of a number of operational processes. They will be expected to perform these functions as well as demonstrating innovation and a proactive approach, highlighting inefficiencies, risks and implementing improvements. In addition, they will also be expected to … provide a high level of service to their clients. The role will involve close interaction with a wide range of areas of the bank including Credit Risk Management, Legal and Compliance, Sales, Trading, Controllers, Middle Office, Client Representatives, Central Clearing Services and other Operations Departments. As a result the successful candidate will be required to possess strong communication skills. … detail when booking margins for clients to avoid errors or catch any anomalies Performing a number of control functions, ensuring the integrity of our processes Review and approval of management and regulatory reports BASIC QUALIFICATIONS Ability to break down and fully understand products across Cleared OTC and Listed derivatives Attention to detail - goal of zero defect in work product 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:

PMO Analyst

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 … every team in Copper with the tools, guidance, and insights needed to deliver successful outcomes and exceed stakeholder expectations. Your purpose at Copper will be to support the Programme Management team in ensuring effective project governance, reporting, and delivery assurance across the portfolio. This role is critical in maintaining project standards, tracking performance, and enabling informed decision-making. Key … Responsibilities of the role Support the implementation and maintenance of PMO frameworks, tools, and processes. Provide analytical support to Programme Management team Monitor and report on project and program performance, ensuring risks and issues are captured in the correct format and mitigation plans are valid and in place. Maintain project documentation, dashboards, and status reports. Facilitate project governance meetings More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

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:

Collateral Reporting Business Analyst - 6-9m contract - London hybrid Experienced Hires London

London, United Kingdom
Hybrid / WFH Options
Vantage Point Global
We're working with a leading financial institution on a data-heavy transformation within collateral management. This is a hands-on role for a Business Analyst or Data Analyst with experience in collateral reporting, ideally with exposure to VERMEGColline, CloudMargin,or another derivative reporting platform . The objective is to recreate legacy Colline reports using data extracted from … in July or August 2025 The Role: - Analyse and transform CloudMargin reporting outputs to recreate reports in Colline format -Interrogate and understand data structures, definitions, and relationships within the collateral domain -Map and validate data fields to ensure accurate and meaningful reporting outputs -Collaborate with internal stakeholders and SMEs to drive reporting deliverables -Provide hands-on support across the … reporting lifecycle from extraction to transformation and delivery About You: - Proven experience as a Business Analyst or Data Analyst within collateral management -Deep understanding of data in financial reporting, ideally with CloudMargin and/or Colline exposure -Experience working in buyside or asset management environments is beneficial -Comfortable working independently and engaging directly with technical and business More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Client Onboarding Analyst

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 … met. Become a dedicated point of contact to guide clients through the onboarding lifecycle from inception right through to the point the client is transitioned over to the Relationship Management team. Coordinate client meetings and engage the relevant Copper stakeholders where necessary. Issue clients with a customised onboarding package and serve as their main point of contact for all … Complete the setup of the client account on the Copper Platform including coding commercials and configuring platform user permissions. Coordinate the introduction of the client to the Copper Relationship Management and Technical Account Management teams. Ensure accuracy of the Salesforce client data included in weekly/monthly dashboard reporting. Partner with the Head of Client Onboarding to identify More ❯
Employment Type: Permanent
Salary: GBP Annual
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:

Derivatives Operations Specialist

London Area, United Kingdom
Marlin Selection Recruitment
paced environment. Key Responsibilities Manage the end-to-end trade lifecycle for Futures & Options products, including trade capture, confirmation, settlement, and reconciliation. Ensure accurate and timely trade bookings, position management, and P&L reporting. Liaise with clearing houses, brokers, and counterparties to resolve trade discrepancies. Oversee margin and collateral management processes for derivatives positions. Identify, investigate, and More ❯
Posted:

Derivatives Operations Specialist

City of London, London, United Kingdom
Marlin Selection Recruitment
paced environment. Key Responsibilities Manage the end-to-end trade lifecycle for Futures & Options products, including trade capture, confirmation, settlement, and reconciliation. Ensure accurate and timely trade bookings, position management, and P&L reporting. Liaise with clearing houses, brokers, and counterparties to resolve trade discrepancies. Oversee margin and collateral management processes for derivatives positions. Identify, investigate, and More ❯
Posted:

Client Services Agent

London, United Kingdom
Zodia Custody Limited
and assist in training related to potential suspicious activities and financial crime risks. Client Onboarding Support - Assist the onboarding team with KYC and information requests from third parties. Risk Management -Compile risk metrics, identify, and manage financial crime risks using data analysis and statistical interpretation. Process Improvement - Review and update departmental procedures, driving system and process enhancements. Operational Support … Coverage : Contribute to client support in a 'follow the sun' model, with flexibility for weekend work Additional Responsibilities: Platform Support - Provide support across trading, operations, settlement, custody, and collateral management platforms. Digital Asset Knowledge - While knowledge of digital assets is a plus, experience in supporting trading or custody of financial instruments is highly favourable. Ultimately, client services are … trade services, ideally previously working for a custodian or an Asset Manager and has a keen interest in disruptive technologies, digital assets and/or crypto Report efficiently to management and risk team in a timely manner Experience working in a distributed team with diverse culture and backgrounds Open to change and comfortable working in a fast-paced environment More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Senior Calypso Software Developer - London

London, United Kingdom
Jas Gujral
Senior Calypso Software Developer - London Our client is seeking a Senior Calypso Software Developer with 3 to 5 years of experience. Calypso V14 is used as its Collateral Management system, and the company is exploring the introduction of additional business lines such as cash management, FX, and securities. The client aims to build a team of support … changes within specified timescales. Manage service integration and transition from 'Change the Bank' (CTB). Develop and conduct regression and Non-Functional Requirements (NFR) testing. Follow change and incident management processes; ITIL experience is preferred. Act as Second and Third Line RTB escalation point. Provide regular updates on development progress. Mentor and support junior team members. Maintain awareness of … Services. Senior analyst developer or team leader experience. Experience or aspiration to lead support and development teams. Knowledge of trade lifecycle processes, including back-office functions such as settlements, collateral, and securities. Knowledge, Technical Skills, and Expertise Java Calypso API Oracle DBMS Calypso V14 or later CATT automation and testing tools Salary is negotiable. The client is based in More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Quantitative Strategist - Treasury Strats (m f x)

London, United Kingdom
Hybrid / WFH Options
E Fundresearch
the Bank. They develop systems to price and optimize liquidity, funding risk, and capital measures, and improve risk-adjusted profitability by measuring and presenting liquidity risks to support macro management decisions and exposure management. Develop functionality within the Bank's strategic analytics platform to calculate and optimize portfolio metrics focused on funding and liquidity risk across trading desks and … MSc or PhD are a plus. Excellent programming skills, with experience in the financial services industry; proficiency in Python and C++ is required. Experience working on a Financial Resource Management (FRM) desk and/or optimizing collateral management and funding & liquidity risk costs under business and regulatory constraints. Effective communication skills across multiple teams and functions, along 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:

Equities Post Trade Settlements Analyst

London, United Kingdom
Venn Group
support for the Equity Post Trade Services function. The successful candidate will supervise BAU activities and team responsibilities, monitor progress, take corrective actions when needed, and escalate issues to management as appropriate. They will ensure accuracy through 4-eye checks and other key risk controls, including oversight of group mailboxes, query resolution, and checklist completion. The role involves leading … Equity post-trade settlement primary issuance programs for ECM Stock loan processing Break resolution (cash and stock) Sanction screening Trade pre-matching and exception handling Fails and conversion processing Collateral management Sensitive client trade monitoring Key Responsibilities & Accountabilities Report directly to the Section Supervisor and Section Head. Collaborate closely with Operations, Front and Middle Office, Compliance, Audit, Finance … Interface with external stakeholders including clients, market counterparties, settlement agents, agent banks, and central securities depositories. Ensure timely and accurate processing of Equity Post Trade Services , including settlements and collateral management. Troubleshoot and resolve routine operational issues, escalating complex matters as needed. Maintain effective stakeholder relationships to uphold service standards and facilitate issue resolution. Provide regular reporting to management 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
P2P
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:

Head of Revenue Operations

London, United Kingdom
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 … and implement standard operating procedures and risk governance models throughout the organisation. Key Responsibilities of the role Lead and optimise operational processes across Marketing, Sales, Client Services, and Relationship Management to enhance the client experience and maximise revenue generation. Ensure all key processes are fully documented and governed, including ownership, regular reviews, and version control. Design and implement RevOps … priorities. Provide governance over all Salesforce requirements to ensure alignment with business strategy and industry best practices. Lead and contribute to strategic Salesforce initiatives, including scoping, requirements gathering, change management, and successful project delivery. Develop and maintain a comprehensive sales enablement programme, ensuring ongoing training through a mix of live sessions and digital content. Maintain and govern sales training More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:

Valuations Lead - OTC Derivatives - Flexible Working

City Of London, England, United Kingdom
Hybrid / WFH Options
Black Swan Group
sub-asset class tolerances and provide insight into curve construction inputs. We’re looking for a valuations SME with 6+ years’ experience with strong technical expertise in OTC derivatives, collateral management, and optimisation. Familiarity with key platforms such as TriOptima, Traiana, Aladdin, and Murex, along with VBA skills are a also advantages given the build nature of this More ❯
Posted:

Senior DeFi Product Lead

London, United Kingdom
SOLANA FOUNDATION
Strong working knowledge of Solana and familiarity with its DeFi ecosystem (or demonstrated ability to ramp up quickly) Familiarity with financial products is highly preferred: debt, equity, private credit, collateral management Understanding of the regulatory and compliance landscape for tokenized assets Proven ability to form partnerships and drive ecosystem collaboration Comfortable operating in ambiguity, making clear decisions, and More ❯
Employment Type: Permanent
Salary: GBP Annual
Posted:
Collateral Management
London
10th Percentile
£87,500
25th Percentile
£91,250
Median
£100,000
75th Percentile
£106,250
90th Percentile
£108,500