Mitigation of counter-party credit risk through the performance of a number of operational processes. Analyst will be expected to perform these functions as well as demonstrating innovation and a proactive approach, highlighting inefficiencies, risks and implementing improvements. In addition, the analyst will be expected to provide a high level of service to their clients.
The role will involve close partnership and interaction with a wide range of areas, including Credit Risk Management, Legal and Compliance, Sales, Trading, Risk Management and other Operations Departments. Collateral Management, part of Margin, Collateral & Valuation Operations sits within the Goldman Sachs Securities Division. A global, multi faceted and cross product function, the primary objective of the department is the mitigation of counter-party credit risk through the active monitoring of clients’ derivative and securities financing portfolios. Collateral Management is currently +100 staff strong globally, with regional teams in Salt Lake City, New York, London,Bangalore, Warsaw and Singapore working closely together.
The team have a rare opportunity to support products and business ranging from foreign exchange, commodities, credit, Equity, Interest Rates, Repo, Insurance/Pensions and bespoke structured derivatives and arrangements. The team manages a wide range of complex processes, with members developing skills and competencies around derivative & security products and their respective business areas, legal agreements, technology flows and regulations.
HOW YOU WILL FULFILL YOUR POTENTIAL
SKILLS AND EXPERIENCE WE ARE LOOKING FOR
ABOUT GOLDMAN SACHS
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