Posted By
Posted in
Banking & Finance
Job Code
318494
Members of this group work on cash management, liquidity analysis, and portfolio financing while gaining a comprehensive understanding of various standard and unconventional financing arrangements. They also gain insight into the nuances of widely used margining methodologies, techniques involved in optimization of portfolio margin, and financing and borrowing costs.
The ideal candidate must have an MBA (Finance)/CFA/CA or another equivalent qualification with work experience in collateral management for hedge funds and familiarity with typical financing arrangements as well as various margining methodologies. He/She should have in-depth domain/finance knowledge, attention to detail, the ability to work with minimal supervision, and experience in managing high performers. Additionally, a drive to enhance the efficiency of processes, strong project management skills, effective managerial ability, and strong communication and collaboration skills are a prerequisite along with proficiency in MS Excel.
Experience in securities lending and borrowing as well as optimization of portfolio financing would be an added advantage.
The Company offers excellent benefits, an informal and collegial working environment, and an attractive compensation package.
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Posted By
Posted in
Banking & Finance
Job Code
318494