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Senior Product Manager for Collateral Optimization
Job Description & How to Apply Below
As part of USTC Phase3, you will analyze daily counter party exposures and validate margins across various financial instruments. You will lead initiatives to optimize collateral usage and collaborate closely with Treasury and Operations.
Your role will facilitate adherence to regulations while improving data systems to enhance efficiency and accuracy in collateral management.
Key Responsibilities:
• Oversee daily analysis of collateral and exposure data
• Validate and support initial and variation margin calculations
• Investigate and resolve margin disputes and shortfalls
• Partner with teams to optimize collateral strategies
• Lead enhancements for collateral management systems
Requirements:
• Extensive experience in product management within finance
• Strong familiarity with key regulations like UMR and Dodd Frank
• Experience using platforms like Acadia or Calypso
• Strong analytical and problem-solving skills
• Effective management of multiple stakeholder relationships
Become an integral part of our collateral management team, leading efforts to achieve funding efficiency and regulatory compliance.
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Position Requirements
10+ Years
work experience
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