Vista previa generada por IA
Analista de Gestión de Garantías en Nomura, NY, híbrido.
Responsable de resolución de disputas, conciliaciones, y cumplimiento regulatorio en portfolio de derivados.
Company overview
Nomura is a global financial services group with an integrated network spanning over 30 countries and regions. By connecting markets East & West, Nomura services the needs of individuals, institutions, corporates and governments through its three business divisions: Retail, Wholesale (Global Markets and Investment Banking), and Investment Management. Founded in 1925, the firm is built on a tradition of disciplined entrepreneurship, serving clients with creative solutions and considered thought leadership. For further information about Nomura, visit www.nomura.com .
Department overview
Collateral Management is a centralized support function whose primary role is to mitigate credit risk through the determination and calling of margin at a portfolio level. The team supports collateral arrangements for Derivatives, Repo, MBS, and PB. All aspects of collateral management are performed by the team. These functions include: data management, margin calling, dispute management, portfolio reconciliations, collateral asset management and reporting.
Role description
Dispute resolution and reconciliations
Partner with Global Markets, Middle Office, and Risk teams to address client queries
Interface with various Front office and Counterparty/Market risk teams
Work with various settlement groups to ensure proper cash and security movements
Engage in various projects focusing on regulatory requirements and internal optimization
Provide daily/weekly reporting on trade dispute metrics
Participate in various projects related to the ongoing regulatory requirements facing the industry
Interface and liaison with various Front/Middle teams and the Risk Group regarding Regulatory and House Margin requirements.
Maintenance of Supervisory Procedures
Minimum qualifications
Minimum of 1 year of collateral management experience
Bachelors degree in Finance, Economics or similar
Strong understanding of OTC Derivatives and Repo Markets
Working knowledge of Margin regulations
Understanding of the legal, credit and operational risks associated with Collateral
Nomura Leadership Behaviors
Explore Insights & Vision
Identify the underlying causes of problems faced by you or your team and define a clear vision and direction for the future.
Making Strategic Decisions
Evaluate all the options for resolving the problems and effectively prioritize actions or recommendations.
Inspire Entrepreneurship in People
Inspire team members through effective communication of ideas and motivate them to actively enhance productivity.
Elevate Organizational Capability
Engage proactively in professional development and enhance team productivity through the promotion of knowledge sharing.
Inclusion
Foster a culture of inclusion and psychological safety in the workplace and cultivate a "Risk Culture" (Challenge, Escalate and Respect).