Job Description:
As a Barclays Collateral & Prime Margin Analyst you will be engaged with Barclays Collateral function during a time of regulatory change, contributing to margin activity and delivery of regulatory compliance. Considered a first line of defense function, to ensure strong delivery, control and oversight of risks, manage client service and interactions across the teams. Partnering closely with colleagues, as well as a diverse group of stakeholders across business and infrastructure teams.
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Job Requirements:
* You will be an independent, motivated and enthusiastic team player
* Strong experience with detailed, analytical, numerate work stacks
* Ability to multi-task within a busy, fast paced environment
* Naturally inquisitive about the Trade portfolio and Financial Services with Derivatives experienceContributing and helping to lead the definition and shape of the global CMS function and needs
* Delivering reduction in Risk Weighted Assets (RWA) and understanding implications
* Ensuring a robust risk and control framework is in place across the group with clear management information, escalation and analysis, where required
* Developing the market relationships with clients, counterparts, peers and industry groups to support function
* Partnering with colleagues in Pre-Markets Trade, Operations, Finance, Risk & Legal functions in a Global context to drive delivery on key business initiatives and objectives
* Contributing and helping to lead the definition and shape of the global CMS function and needs
Job Details:
Company:Barclays
Vacancy Type: Full Time
Job Location:London, England
Application Deadline: N/A
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