This job is no longer available
This job expired on 29/09/2026. It no longer accepts applications.
Collateral Management AVP (12‑month contract)
Adecco · London
Job description
About the role
Join a leading financial services firm as an Assistant Vice President in Collateral Management. This 12‑month hybrid contract position is based at Harbour Exchange in London and sits within the Derivative Operations department, supporting EMIR risk‑mitigation processes.
Key responsibilities
- Execute business‑as‑usual tasks accurately and on schedule while following operational procedures.
- Review and improve desktop procedures to streamline process flows.
- Build strong internal and external relationships to foster a customer‑centric culture.
- Manage daily EMIR risk‑mitigation activities, including processing CSA and GMRA margin calls, performing portfolio reconciliations, and resolving disputes.
- Coordinate with the Treasury Department for funding of margin calls.
- Engage support teams to ensure timely access to information and systems.
- Assist with User Acceptance Testing (UAT) for new systems and upgrades.
Required profile
- Relevant experience in collateral management or a similar role.
- Familiarity with COLLINE, ACADIA MARGIN MANAGER, and TRIRESOLVE.
- Knowledge of ISDA documentation, CSA Agreements, GMRA, and EMIR regulations.
- Strong Excel skills for data manipulation.
- Self‑motivated, collaborative, with excellent communication abilities.
Required skills
- COLLINE
- ACADIA MARGIN MANAGER
- TRIRESOLVE
- Microsoft Excel
What we offer
- Impactful role influencing key financial processes.
- Collaborative team environment focused on quality and continuous improvement.
- Opportunity to gain experience in a fast‑paced, regulatory‑driven setting.
- Inclusive and accessible recruitment process.
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Adecco
London
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