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Associate Director, Risk & Margin

Oversees daily margin calls, collateral management, and regulatory compliance for a modern brokerage platform. Requires 7+ years in risk/margin at financial institutions, expertise in regulations like Reg T and FINRA 4210, and bachelor's in finance-related field.

125k – 170kChicago, ILNew York, NYTampa, FLBusiness OperationsHybrid7+ YOE

About the role

Key Responsibilities

Margin and Collateral Management

  • Manage the daily calculation, issuance, and settlement of margin calls.
  • Ensure the accurate and timely management of collateral, including eligibility assessments, optimization, and allocation.
  • Serve as a subject matter expert for margin methodologies, requirements, and internal firm house policy.
  • Spearhead efficiency and improvements within the collateral management infrastructure and operational workflows.

Regulatory Compliance and Reporting

  • Maintain a current understanding of evolving global financial regulations impacting risk and margin.
  • Ensure departmental adherence to all relevant internal policies, external regulations, and audit requirements.
  • Manage the preparation and submission of internal and external regulatory reports related to risk, capital, and collateral.
  • Serve as a key contact for regulatory examinations and internal audits related to risk controls and margin processes.

Leadership and Strategy

  • Contribute to the strategic development and implementation of the firm’s overall risk framework and technology roadmap.
  • Partner with Technology, Operations, Legal, and Front Office teams to execute new product launches and process enhancements.
  • Identify and implement automation opportunities to streamline risk and margin processes, reducing operational risk.

Qualifications

Essential

  • Bachelor's degree in Finance, Economics, Quantitative Methods, or a related field.
  • 7+ years of experience in margin management, risk management, collateral operations, or a quantitative finance role within a major financial institution (e.g., investment bank, clearing house, asset manager).

Desirable

  • Experience with risk management systems or collateral management platforms.
  • Proficiency in data analysis tools and programming languages (e.g., SQL, Python, R).
  • Excellent communication skills, both written and verbal, with the ability to articulate complex risk issues to senior management and diverse stakeholders.
  • Proven expertise in risk metrics (VaR, stress testing, PFE) and margin methodologies (SIMM, SPAN, etc.).
  • Strong knowledge of global derivatives markets, secured financing transactions.

Compensation

Base Salary Range: $125,000 - $170,000 (does not include bonuses or equity).

Skills

SQLPythonRVarSimmSpanCollateral ManagementMargin MethodologiesRisk Management SystemsStress Testing

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