Middle Office Collateral Management
Listed on 2026-07-10
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Finance & Banking
Risk Manager/Analyst, Financial Compliance
Overview
The Collateral Management Analyst plays a critical role in supporting Athene’s investment operations by ensuring accurate and timely management of collateral across derivatives, financing transactions, and counter party exposures for Bilateral, Cleared & Futures transactions. The team is responsible for managing the operational aspects of Derivative investment and hedging strategy. This role directly contributes to risk mitigation, liquidity optimization, and operational excellence within a fast‑paced and highly regulated environment.
At Athene, you’ll operate at the intersection of insurance and asset management, leveraging the strength of our partnership across multiple teams to access differentiated investment strategies, scale, and innovation. This role offers exposure to complex financial instruments and the opportunity to contribute to a high‑performing team that acts with urgency, ownership, and a continuous improvement mindset.
Accountabilities- Monitor daily collateral positions, margin calls, and settlements across counter parties, ensuring accuracy and timeliness across Bilateral, Futures and Clearing.
- Identify and analyze margin call discrepancies and resolve breaks proactively.
- Partner with internal teams (Trading, Risk, Legal, Treasury, Accounting & Technology) and external counter parties to ensure alignment and issue resolution.
- Support process improvements and automation initiatives to enhance efficiency and scalability.
- Maintain strong controls and documentation to ensure compliance with regulatory and internal risk standards.
- Develop and enhance a culture of prudent risk management within the team and wider organization.
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