Manager, Capital Markets & Risk- Collateral Management
Capital One
Mclean, VA, US
$164,800 - $188,100 py
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Operational support for margin operations
Pledging assets to secure funding capacities
Daily monthly quarterly collateral reporting
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Capital One is seeking a Manager for its Capital Markets & Risk team, specifically within Collateral Management, to provide operational support for margin operations related to various trading and investment portfolios. The role involves collaborating with multiple stakeholders and delivering essential collateral data.
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Job Summary
This high-impact role is crucial for providing operational support for margin operations across multiple trading and investment portfolios including Derivatives, Securities, and Repo activities.
The team provides key collateral data to both internal and external stakeholders through daily, monthly and quarterly reports.
You will support the pledging of assets to secure funding capacities while working with broad stakeholder groups such as Derivatives Front Office and Legal.
Matching Summary
Match Score: 75
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Capital One is seeking a Manager for its Capital Markets & Risk team, specifically within Collateral Management, to provide operational support for margin operations related to various trading and investment portfolios. The role involves collaborating with multiple stakeholders and delivering essential collateral data.
**
Salary
$164,800 - $188,100
Skills & Requirements
Must-have
Operational support for margin operations
Pledging assets to secure funding capacities
Daily monthly quarterly collateral reporting
Nice-to-have
Collateral advisory support capabilities
Stakeholder collaboration across front office
Detailed-oriented approach to risk
Key Requirements
Highly motivated and detailed-oriented professional
Experience in corporate treasury or capital markets