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Collateral, Margin and Valuation Services in London

If you’re thinking about moving forward in your career, then join Barclays. You will work as the face of the company as you work with customers to ensure complete customer satisfaction.

Job description

Collateral, Margin and Valuation Services Specialist
London

As a Barclays Collateral, Margin and Valuation Services Specialist, you will provide critical expertise during a time of unprecedented regulatory change, contributing to the delivery of business initiatives, regulatory compliance and investment programmes.  As a key contributor to the first line defense, you will require strong delivery, control and oversight of potential risks, manage client services and interaction with the extended leadership team as well as a diverse group of stakeholders.

Barclays is one of the world's largest and most respected financial institutions, with 329 years of success, quality and innovation behind us. We offer careers that provide endless opportunity – helping millions of individuals and businesses thrive and creating financial and digital solutions that the world now takes for granted.

This opportunity is open to dynamic working arrangements. Such as working from home, flexible or compressed hours, part-time options as well as the opportunity is open to job share arrangements. If you have a need for flexibility, please apply and discuss this with us during the hiring process.

This opportunity is location flexible. We will consider requests for locating the role at an alternative Barclays’ key UK office from that advertised.

What will you be doing?
• Working closely with colleagues across the extended leadership team to build enterprise service appropriate to the new and emerging regulatory landscape
• Strong input to the successful integration of regulatory change, e.g. Structural Reform, FINRA 4210, Uncleared Swap Margin
• Partnering with technology colleagues to oversea performance on investment delivery 
• Staying abreast of market, industry and regulatory changes to be the SME within Collateral, Margin and Valuation Services
• You will be responsible for Change Management delivery to include governance, execution in line with the role and business area with Markets Post Trade
• Designing, reengineer and future proof critical process and capabilities in line with control and risk policy and standard


What we’re looking for:
• Change Management, Project Management or Business Analysis experience with a track record of delivery, either as a primary role or part of responsibilities with a line role
• Strong Financial Services experience 
• High level understanding of the trade lifecycle and the functions across Operations and Markets groups primary focus on Collateral and Margin 
• Change Management projects to include governance, risk and execution


Skills that will help you in the role:
• Operating experience within Collateral, Middle Office, Finance, Capital, Risk and/or Optimisation functions
• Understanding of design, development approaches, agile and Lean preferable
• Optimisation tooling skills to include Data Manipulation and Visualisation 
• Python or similar knowledge would be advantageous 

Where will you be working?
5 North Colonnade is home to our investment bank and is in the heart of Canary Wharf, just a short walk from our headquarters at Churchill Place. It boasts an array of onsite amenities such as dry cleaner as well as a deli and buffet style staff restaurant. The building is easily accessible by tube, docklands light railway and all major bus links. The atmosphere is second to none with a real buzz being created around the offices within.

#LI-JH2020

Extra information

Status
Closed
Location
London
Type of Contract
Graduate Jobs
Profession type
Customer Service
Full UK/EU driving license preferred
No
Car Preferred
No
Must be eligible to work in the EU
No
Cover Letter Required
No

London | Customer Service Jobs | Graduate Jobs