Collateral Management Jobs in the UK

1 to 9 of 9 Collateral Management Jobs in the UK

Contract Business Analyst (Collateral Management)

United Kingdom
X4 Technology
successful candidate will be responsible for working on a novel transformation programme focused on integrating greenfield digital tokenisation and distributed ledger technologies within their collateral management target operating model. Key Requirements for the Business Analyst (Digital Collateral): Strong knowledge of collateral products, assets, legal terms and … on experience. The successful candidate will be working in London on a hybrid basis of approx 3 days per week. If you're a collateral expert with recent experience around digital technologies (tokenisation, DTL settlement, smart legal contracts, etc), please apply online for immediate consideration. more »
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FX Prime Brokerage Salesperson

London, England, United Kingdom
ubs
and sales pitches for FX Prime Brokerage and FX Clearing • acquisition of new clients. This includes pricing negotiations in consultation with Pricing and Risk Management, negotiations of contract terms, handover to FX Prime Brokerage Service Team for implementation • strategic coverage of existing FX Prime Brokerage clients: Initialization and negotiation … to margin and pricing terms • identification of client requirements for FX Prime Brokerage services • coordination between external clients and internal departments (Legal, Credit, Documentation, Collateral Management, Treasury) Your Career Comeback We are open to applications from career returners. Find out more about our program on ubs.com/careercomeback. … in London. FX Prime Brokerage offers clients access to a broad FX liquidity pool and provides operational efficiency through flexible straight-through processing, central collateral management, and consolidated reporting. The business is integrated into the Global Financing organization. Your expertise The successful candidate must: • have proven experience in more »
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Treasury Operations Assistant

Milton Keynes, England, United Kingdom
Hybrid / WFH Options
Allica Bank
our economy - yet have been largely neglected both by traditional high street banks and modern fintech providers Role Description Primary duties consist of Treasury Management daily operations to ensure all processes are completed accurately and in a timely manner. Assist with processing, coordinating and implementation of Treasury Management … Office to enhance the satisfaction of our clients through timely and accurate funds management. The role will focus on key treasury activities such as collateral management, payments, swaps settlement, intraday liquidity management and support Treasury with ad hoc projects and activities. What You'll Do BAU support … of Treasury activities including reporting, reconciliation, settlements, and payments processing. full end to end processing and settlement of all Treasury transactions. Management activities such as agreement of margin calls, collateral interest and coupons relating to derivative positions. confirmation matching. Ensuring all transactions are effectively managed and recorded within more »
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Manager, Operating Model Transformation - Capital Markets: Regulatory Change, Consulting

London, United Kingdom
Hybrid / WFH Options
Deloitte
should also be able to develop strong relationships, contribute innovative ideas, and manage change and ambiguity effectively and confidently. Your existing industry and project management knowledge/experience will be critical and will support your development in the team. We will provide you with the appropriate support to continually … change experience at a major Capital Markets institutionExperience in investment banking and Capital Markets industry, front-, middle- or back-office processes, market infrastructure, risk management etc.Technical or business line experience in a key area in Capital Markets – e.g. Front Office, Operations functions, Trade Life Cycle (Pre-Trade/Post … Trade processing), Securities Processing, Collateral Management etc.Experience of working on large regulatory remediation programmes (MiFID, Brexit, FRTB, EMIR etc.)Knowledge of the UK and European financial regulatory environmentKnowledge of ESG regulations and understanding of how they impact operating models, risks, controls and processesStrong understanding and experience of the more »
Salary: £ 70 K
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Management Consultant - Regulatory Change

London, United Kingdom
Capco
initiativesIn order to support our clients, we need people who have a deep understanding of capital markets/investment banking coupled with strong change management experience and prior demonstrable success, either as a management consultant or within a change role in a financial services institution. This role allows … markets domain with front-to-back knowledge of organisations (e.g., Front Office, Middle Office, Treasury, Risk – Operational/Market/Credit, Operations – including Cash & Collateral Management/Clearing & Settlement, Technology, Finance, and Compliance) and the ability to face off to key stakeholders with strong credibility.Key areas of product … other members of the team.Solution development, showing a clear ability as a Subject Matter Expert (SME) to enhance existing propositions, and develop new ones.People management, building a team of consultants with the right mix of grades, skills and experience to support client opportunities and projected growth.Develop and convert a more »
Salary: £ 70 K
Posted:

Quantitative Analyst

London, England, United Kingdom
Legal & General
The world of investment is changing. Our vision at Legal & General Investment Management is to create a better, more sustainable future through responsible investing. We work in partnership with our clients around the globe to deliver positive long-term outcomes, while rising to the challenges of a rapidly changing … the development of quantitative fixed income models and associated governance framework to support investment, risk, attribution and pricing portfolio construction Working with the portfolio management to deliver robust, relevant and scalable analytical solutions Buildingintellectual capital by performing strategic research and analysis that applies the latest financial knowledge to topical … systems projects and business process projects that affect the team and related business areas Ensuringeffective utilisation of enhanced data, analytical, risk engine and portfolio management capabilities Collaboratingwith associated teams (e.g. collateral management/margining; derivative pricing) to ensure new operational/business processes are implemented in the more »
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Operations Analyst with established Multi-Strategy Hedge Fund

London Area, United Kingdom
OCR Alpha
of five people. The team covers the front to back trade flow for the firm (from trade capture, through trade reconciliation to all trade management functions e.g.: trade events; settlement; corporate actions; compression; collateral; and treasury). The products traded include the following: bonds; CFDs; credit derivatives; equities … reduce counterparty margin exposure and allow efficient rolls process Implementation of upcoming corporate actions including trade bookings and where necessary counterparty dispute resolutions Cash management reconciliation between cash/custody accounts and administrator Treasury and collateral management Ensuring that the business is properly and securely controlled and more »
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Senior Operations Analyst

United Kingdom
Cameron Kennedy
as well as responsibility for maintaining accurate data within the system. Daily cash and position reconciliations and resolution of breaks. Liquidity analysis, cash and collateral management. Corporate action processing. Assisting with the monthly NAV process. Asset & share class hedging. Developing and maintaining good relationships with Custodians and Fund Administrators. more »
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Senior Operations Analyst

Greater London, England, United Kingdom
Cameron Kennedy
as well as responsibility for maintaining accurate data within the system. Daily cash and position reconciliations and resolution of breaks. Liquidity analysis, cash and collateral management. Corporate action processing. Assisting with the monthly NAV process. Asset & share class hedging. Developing and maintaining good relationships with Custodians and Fund Administrators. more »
Posted:
Collateral Management
10th Percentile
£42,286
25th Percentile
£50,000
Median
£55,000
75th Percentile
£71,250
90th Percentile
£84,848