As Stock Borrow Loan Collateral Analyst within The Stock Borrow Loan Middle Office Team you will facilitate and control the end to end life cycle of Equity Borrow / Loan activity in EMEA. Youi will liaise with external counterparties & traders on a day-to-day basis. You will be also responsible for regulatory reporting, client onboarding and collateral (cash and stock) management.
Job responsibilities
- Performs daily collateral exposure management
- Manages counterparty relationships
- Supports the daily requirements of the Stock Borrow Loan Front Office
- Liaises with clients, counterparties and traders to investigate & resolve any trade exceptions
- Investigates of all key controls within the trade life-cycle
- Products of daily metrics in relation to key risk and performance indicators
- Supports the regulatory reporting requirements.
- Supports the new and incremental client onboarding agenda, working with KYC, Legal and Credit team.
- Manages exception updates to management
Required qualifications, capabilities, and skills
- Well motivated and enthusiastic
- Good communication skills and ability to develop good relationships with internal and external parties
- Highly numeric person with excellent attention to detail in all areas
- Ability to work in a pressurised environment, meeting tight deadlines on a daily basis
- Ability to work as a team player
- Strong Data analytics and accuracy
- Demonstrate understanding of how operations interacts with relevant businesses
- Ensure awareness of and compliance with relevant policies, controls, regulations and escalation protocols
- Proactively identify areas for improving process quality, control, and productivity.
- Build working level awareness of digital ops tools leveraging the Firm’s online and classroom training
- Proficient with excel