Collateral & Margining Analyst
careersdeltacapita · Singapore
Job description
About the role
Delta Capita is seeking an experienced Collateral & Margining Analyst to support a front‑to‑back collateral function within its global markets environment. The role will focus on daily margining activities, control enhancement and data quality improvement in a high‑touch, time‑sensitive workflow.
Key responsibilities
- Perform daily collateral margining activities across OTC derivatives, repo and prime products.
- Calculate, validate and reconcile margin calls, disputes and settlements.
- Investigate and resolve margin discrepancies with internal stakeholders and counterparties.
- Strengthen operational controls and governance, including exception tracking and escalation.
- Support and enhance data validation and control frameworks upstream of margining.
- Conduct root‑cause analysis on recurring issues and implement remediation actions.
- Engage with trading, risk, treasury and operations teams to ensure timely and accurate processing.
Required profile
- 6 months to 2 years of experience in collateral or margining within investment banking or financial markets.
- Strong working knowledge of CSA/GNA agreements and margining across OTC derivatives, repo and prime brokerage products.
- Experience with margin call calculations, dispute management and reconciliations.
- Understanding of the collateral lifecycle, settlements and control frameworks.
- Demonstrated ability to improve processes and enhance controls.
- Ability to manage complex portfolios and high‑volume workflows.
Required skills
- Strong analytical and problem‑solving capability.
- High attention to detail with a controls‑oriented mindset.
- Ability to challenge processes and data constructively.
- Comfortable working in a fast‑paced, deadline‑driven environment.
- Strong stakeholder management and communication skills.
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Published 20 hours ago
Expires 1 month from now
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careersdeltacapita
Singapore
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