Collateral Risk Manager

London (Central)
17 Feb 2019
13 Mar 2019
Contract Type
Full Time

A fantastic opportunity has come about at an international bank within the city. They are currently looking to hire an experienced Collateral Risk Manager to develop and monitor the current risk appetite.

A large part of the role will be building and implementing the collateral management function of the bank. Some of the main responsibilities within the role are, but are not limited to:

  • Manage the collateral of trade finance transactions, margin call on derivatives, and term loans (CRE, RE, plant and equipment).
  • Challenge product valuation and negotiate with the counterparty.
  • Building the collateral management framework.
  • Implementing the collateral management framework.

As this is a senior hire, it is vital that you have experience within a banking environment, and you must also have experience within a collateral management role.

This is a successful business that not only rewards their employees generously but also provides a family type environment that is very inclusive. They are offering a starting salary ranging between £50,000 - £70,000 plus bonus and benefits.

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