Chicago, Illinois
2 days ago
Futures/Margin Analyst
Key escalation point for F&O Margin team and main point of contact for internal and external stakeholders.
• Monitor the firm’s collateralisation requirements arising from the trading activities of those counterparties with margin documentation in place.
• Execute collateral substitutions with counterparties
• Preparation/Delivery of Strategic planning for the team
• Responsible for the on boarding of new products
• Responsible for ensuring team adheres to all internal policies, procedures and external regulatory requirements
• Responsible for managing all risk aspects including any internal & external audits.
• Responsible for all Industry Initiatives
• Staff development and appraisal process


Responsibilities:
Participating and managing project timelines for strategic initiatives.
• Ensuring all Client Margin Calls covered on a daily basis.
• Dealing with Client Trade & settlement queries on daily basis
• Investigation and resolve of any margin call discrepancies
• Identify and escalate fails in a timely and accurate manner to Credit/Risk Mgmt, Collateral Risk Mgmt and Ops Mgmt.
• Requesting / Booking of FX transactions for all client base
• Dealing with collateral bookings & releases, Pledged & Lodged
• Responding to client inquiries, coordinate with the appropriate Front/Middle Office as well as the core processing area in order to facilitate resolution
• Developing a complete understanding of Bank policies and departmental controls and procedures.

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