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Global Banking & Markets - OTC and Repo Collateral Management Analyst

Goldman Sachs
Office & Professional
Office & Professional
£60,000 - £90,000/Year
Full-time
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Description

Location
London

Hours
Full Time

Salary
Negotiable

About the Role
The Collateral Management team at Goldman Sachs is a global, multi-faceted function within the Margin, Collateral Valuations Operations (MCVO) group, focused on mitigating counterparty credit risk through active monitoring of derivative, prime brokerage, GS execution & clearing, derivatives clearing, and securities financing portfolios. The role supports a wide range of products including foreign exchange, commodities, credit, equity, interest rate, repo, and bespoke structured derivatives. You will partner with professionals across Credit Risk Management, Legal and Compliance, Sales, Trading, Risk Management, and other Operations teams to improve operational efficiency and risk mitigation.

Key responsibilities include daily monitoring of client portfolios, issuing and receiving collateral calls, resolving client disputes and queries, onboarding new clients, liaising with internal groups to resolve collateral issues, reconciling portfolios, performing collateral optimization, monthly interest and coupon settlement, and executing margin calculations and approvals including SIMM calculations. You will also perform control functions to ensure process integrity and manage inter-company margining including NPV control validation across jurisdictions.

This role requires strong collaboration with internal and external stakeholders and a proactive approach to identifying inefficiencies and proposing improvements. You will be expected to adapt quickly to market and regulatory changes while maintaining high standards of accuracy and client service.

Requirements

Experience
2-3 years of relevant experience in collateral management or related operations. Proven ability to identify and propose solutions to operational problems and present these effectively to management. Experience interacting with external clients and coordinating with multiple internal business areas. Strong proficiency in Excel, including macros, vlookup, and VBA. Demonstrated adaptability to changing market conditions and regulatory environments.

About you
Detail-oriented with strong technical and analytical skills. Proactive and driven to continuously deepen expertise. Excellent communication skills with the ability to build trusted relationships with clients and internal teams. Collaborative team player who values diverse perspectives and recognizes contributions. Strong judgment and problem-solving capabilities with a creative and innovative mindset. Comfortable managing multiple priorities and taking ownership of your growth and performance.

Qualifications
While specific qualifications are not detailed, candidates should possess a strong foundation in financial products, collateral management processes, and relevant regulations. A commitment to continuous learning and professional development is essential.

Expiry date: 09/09/2026
Global Banking & Markets - OTC and Repo Collateral Management Analyst
Company:
Goldman Sachs
Salary:
£60,000 - £90,000/Year
Job Type:
Full-time
Location:
London