Senior Collateral Management Analyst
Oliver James - Hartford, CT
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Our client, a global insurance and risk solutions platform, is seeking a Senior Collateral Analyst to support its Collateral Management function. This full-time role is based in Connecticut and offers a hybrid schedule (three days in-office, two remote). Responsibilities: Process daily margin calls, collateral movements, and substitutions in accordance with agreements and internal policies. Monitor and reconcile collateral balances across counterparties and custodians. Ensure accurate valuation, allocation, and reporting of collateral assets. Support requirements gathering for collateral workflows, systems, and controls. Document current and future-state processes and assist with gap analysis. Prepare and execute UAT test scripts for system enhancements and new platform implementations. Participate in testing cycles, document findings, and escalate issues as needed. Prepare daily and weekly collateral exposure and margin reporting. Develop dashboards and trend analysis to monitor liquidity and counterparty exposure. Assist with regulatory reporting, audit documentation, and compliance reviews. Contribute to process improvements and the build-out of operational controls. Skills Required: 4+ years of experience in collateral management, middle office, or investment operations within financial services. Direct experience performing daily collateral and margin operations (required). Understanding of derivatives, fixed income, repos, or securities lending products. Familiarity with regulatory frameworks such as EMIR or Dodd-Frank preferred. Strong proficiency in Microsoft Excel and the broader Microsoft Office suite. Detail-oriented with strong risk awareness and operational control mindset. For more information, please apply or reach out to [email protected]
Created: 2026-03-06