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The job posting is for an AVP of Collateral Management within the Middle Office at Banamex, focusing on risk management and operational leadership. The ideal candidate should possess significant experience in financial markets, especially in collateral management, along with strong analytical and supervisory skills.
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Job Summary
The role provides full supervisory responsibility for a team managing risk reporting and analysis within the Treasury function.
Candidates must possess deep knowledge of financial derivatives, repo operations, and collateral handling to ensure compliance with regulatory standards.
The position involves developing tools and processes to proactively identify and manage interest rate and market risks across portfolios.
Matching Summary
Match Score: 75
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The job posting is for an AVP of Collateral Management within the Middle Office at Banamex, focusing on risk management and operational leadership. The ideal candidate should possess significant experience in financial markets, especially in collateral management, along with strong analytical and supervisory skills.
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Skills & Requirements
Must-have
Middle Office experience minimum 3 years
Collateral management expertise required
Derivatives markets knowledge
Excel formulas and pivot tables
Interest rate exposure reporting
VaR and MTM calculation skills
Nice-to-have
Aladdin system proficiency
Afore industry experience
Regulator interaction experience
Process automation initiatives
Team leadership capabilities
Key Requirements
Bachelor's degree in Economic/Financial areas
Minimum 3 years Middle Office experience
Minimum 1 year collateral administration experience