Remote Collateral Management Jobs in the UK

7 of 7 Remote Collateral Management Jobs in the UK

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:

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:

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:

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:

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