Our Top banking client is urgently seeking an experienced Corporate Investment Banking individual who has knowledge of financial services / Global markets within collateral operations environment to join them on a 1-year contract.
No less than 2 - 5 years' relevant experience in risk management, investment management to work as a Collateral Manager.
Will be responsible for managing daily margin and processing / collateral requirements - ISDA / CSA for OTC trades
Producing delivery notes
Risk management
Testing and sign off on new processes and systems
Incumbent will support the Global Markets as well as Africa regions
- Undergraduate degree in Financial/Accounting/Investment/Economics
- Knowledge of Financial Services preferably within the Collateral Operations environment.
- Experience in Global Markets and/or Operations, with Africa Regions experience advantageous
In-depth knowledge of Global Markets products
Must have a clear Crim, Matric, Fraud, clear ITC (credit)
Great track record
Able to handle pressure
Data analysis
Strong communicator
Numerical
Driving continuous improvement