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Collateral Management Analyst

Applications for this role are now closed. View similar roles here.
The details


Arthur Financial have partnered with a leading global alternative investment management firm who are looking to hire a Collateral Management Analyst for their office in London. 

The business is going through a period of significant growth across multiple locations including London, Jersey, New York, Austin, Chicago, Hong Kong, Singapore and the Cayman Islands.

You will be working within the Collateral and Treasury department that helps design and maintain the risk framework. Run Initial Margin reconciliation and approval processes, unencumbered cash reporting, regulatory reporting of these and related areas. 

It is expected that candidates will have 2+ years experience working on counterparty risk within the investment management or banking. 

You will be competent with Excel, SQL, VBA, python knowledge highly desirable but not essential.

For more information on this vacancy, please do reach out to Antony on 0203 587 7203 or email

Applications Closed