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2.0 - 8.0 years
0 Lacs
pune, maharashtra
On-site
As a Collateral Management Specialist at FIS, you will play a crucial role in ensuring the timely covering of collateral requirements with exchanges and clearing houses, accurately recording transactions, and facilitating settlements with end clients. Your attention to detail and expertise in collateral management concepts such as initial and variation margins, listed derivatives products, CCPs break investigations, and Nostro breaks resolutions will be essential to the success of our team. In this role, you will be responsible for managing daily collateral management activities in adherence to Service Level Agreements (SLAs), ensuring timely and accurate settlement of end client collateral figures, recording daily collateral movements in back office systems like GMI, and submitting daily reports to internal and external stakeholders. Additionally, you will lead and participate in projects related to systemic upgrades, regulatory changes, and client mandated adjustments, while identifying, resolving, and escalating issues in a timely manner to meet service standards. To excel in this position, you should have a minimum of 2-8+ years of experience in Futures/Options & OTC collateral management processes, a strong understanding of systems like GMI and FBOS, as well as knowledge of Clearing Houses such as ASX, LCH, EUREX, ICE Clear, CME, HKEX, and SGX. Your ability to analyze business needs, manage risks, and communicate effectively with clients and stakeholders will be critical to your success. A Master of Business Administration (MBA) degree or equivalent qualification is required for this role. Additionally, skills in project management, organization, communication, and problem-solving are highly desirable. Experience with large financial services clients, Cash & Nostro Reconciliations for ETD & OTC Derivatives, and Trade Clearing & Lifecycle processes for ETD & OTC Derivatives will be considered an added bonus. At FIS, you will have the opportunity to learn, grow, and make a significant impact on your career. We offer extensive health benefits, career development programs, an adaptable home-office work model, and the chance to collaborate with global teams and clients. If you are a results-driven professional with a dynamic outlook and a passion for fintech, we invite you to join us at FIS and be part of our inclusive and diverse team shaping the future of the financial technology industry.,
Posted 5 days ago
2.0 - 8.0 years
0 Lacs
maharashtra
On-site
The role at FIS requires meticulous attention to detail and a solid understanding of collateral management concepts, such as initial and variation margins, Listed Derivatives products (Rates, CDS, Futures, and Options), CCPs break investigation, Nostro breaks investigations, and timely resolution of issues. Proficiency in tools like Excel and Outlook is essential for this position. The primary responsibility of the team is to ensure timely coverage of collateral requirements with exchanges/clearing houses and accurately recording them in the internal system for exchange-traded derivatives. This involves coordinating with clients and ensuring settlement with end clients of the broker, where the broker refers to the clients supported by FIS. Key Responsibilities: - Manage daily collateral management activities in adherence to Service Level Agreements (SLAs) - Ensure timely agreement and settlement of end client collateral figures as per currency cut-offs - Record daily collateral movements in back-office systems like GMI - Submit daily reports to internal and external stakeholders on various aspects such as margin calls, exchange/broker movements - Lead and participate in projects related to systemic upgrades, regulatory changes, and client mandates - Identify, resolve, and escalate issues promptly to meet service standards - Proactively identify areas for performance and control improvements - Build strong relationships with client stakeholders, end clients, and finance teams - Monitor controls and checks associated with tasks in SOPs and document changes promptly - Analyze activities to mitigate risks, implement controls, and escalate issues as needed Requirements: - Minimum 2-8+ years of experience in Futures/Options & OTC collateral management processes - Familiarity with systems like GMI and FBOS - Knowledge of Clearing Houses such as ASX, LCH, EUREX, ICE Clear, CME, HKEX, SGX - Understanding of trade life cycle, collateral management, and exchange-traded derivatives - High attention to detail and quality outputs - Analytical and problem-solving skills - Ability to adapt to changing priorities and deliver results - Excellent communication and time management skills Qualifications: - MBA Degree or equivalent Competencies: - Project management, organization, communication, analytical, and people skills - Ability to lead, supervise, and manage effectively under pressure - Comfortable interacting and maintaining positive relationships with stakeholders - Strong decision-making and problem-solving skills - Ability to delegate tasks and operate independently - Effective verbal and written communication - Strategic thinking and budget-saving automation ideas Preferred Experience: - Dealing with large financial services clients - Cash & Nostro Reconciliations for ETD & OTC Derivatives - Trade Clearing & Lifecycle process for ETD & OTC Derivatives - Knowledge of Front to Back Trade & Cash Settlement flows FIS offers extensive health benefits, career development opportunities, adaptable work models, and the chance to collaborate with global teams and clients. The company values privacy and operates with a direct sourcing model for recruitment, emphasizing privacy and security in handling personal information.,
Posted 1 month ago
6.0 - 10.0 years
15 - 30 Lacs
Pune
Hybrid
Performance optimization (ProfilingJava applications,Oracle database)when required Java,J2EE, Spring boot, Shell,oracle,sql,unix,devops.Responsible for estimations, risks & mitigations & escalations toTL/PM in case of any issues.Devops implementation Required Candidate profile Expertise in the development of IT systems wid the objective of optimizing operational performance & improving quality whilst increasing cost effectiveness, exp.OTC Trading,SME,Clearing Products
Posted 1 month ago
6.0 - 10.0 years
15 - 30 Lacs
Pune
Hybrid
Excellent Exp. of OTC Trading and back-office process.Prior Exp.of working in derivative business,Good solid exp. with Calypso (v15 onwards).SME knowledge or Exp. in Clearing Products ,Calypso & Clearing Houses Java, J2EE, Spring boot, Shell, Python. Required Candidate profile Expertise in the development of IT systems wid the objective of optimizing operational performance & improving quality whilst increasing cost effectiveness, exp.OTC Trading,SME,Clearing Products
Posted 2 months ago
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