Key Responsibilities:

  • Implement and provide guidance for the internal EMIR operational changes
  • Establish a robust system for recording CSA / MSFTA (etc) data and relevant monitoring of collateral / margin implications.
  • Ensuring systems / processes are robust to deal with the Derivative asset class
  • Liaise with Custodians & Brokers to maintain an efficient collateral process
  • Document collateral monitoring process and train other staff members
  • Lead / have input to various Derivative operational projects (ETD / OTC Clearing)

Experience and qualifications:

  • A good understanding of the EMIR scope and the requirements for OTC derivatives contracts
  • Experience within investment operations at an asset manager or equivalent
  • Knowledge of different asset types with a focus on derivatives
  • Experience developing operational process flows and controls
  • Demonstrable strong communication skills (verbal and written)
  • Bloomberg AIMS experience desirable