Athene
Finance
CollateralManagementAnalyst
“Collateral Management Analyst at Athene. Skills: Collateral Management, Derivatives, Risk Mitigation. Monitor daily collateral positions. Manage margin calls and settlements”
What You'll Achieve.
ensuring accurate and timely management of collateral; risk mitigation; liquidity optimization; operational excellence; enhance efficiency and scalability
Industry & Context.
analytical and problem-solving skills; resolving breaks proactively
What They're Looking For.
Must Have
3+ years of relevant experience in Collateral Management, Derivatives operations or Clearing Operations, Working knowledge of derivative post-trade lifecycle and documentation (ISDA, CSA, MCA, cleared agreements), Bachelor’s degree in finance, business or a related field
Nice to Have
Experience with industry platforms such as MarkitWire, TriResolve, Acadia, APEX, or PAM/PFI, Intermediate knowledge of Excel VBA/SQL & AI experience a plus
What You'll Do.
Monitor daily collateral positions
Manage margin calls and settlements
Resolve margin call discrepancies
Support process improvements
Maintain controls and documentation
Enhance risk management culture
How You'll Work.
Team & Collaboration
Partner with internal teams (Trading, Risk, Legal, Treasury, Accounting & Technology); Partner with external counterparties
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