Capital Markets Middle Office Specialist - Collateral Management
Hybrid · Charlotte, North Carolina, United States
Job Summary
Capital Markets Middle Office Specialist within the Collateral Management team, primarily based in Charlotte. Responsible for end-to-end collateral lifecycle support including daily margin call processing, settlement, and risk mitigation across a high-volume client portfolio. Key duties include comparing trade position files from external counterparties to resolve margin call disputes, performing trade decompositions to validate mark-to-market exposures, reviewing and processing collateral margin calls, and coordinating with internal departments to resolve discrepancies. Produce and distribute ad-hoc reporting, cross-train staff to cover daily Derivative Collateral Management tasks, and partner with project teams to develop system enhancement requirements and assist with user acceptance testing. Strong understanding of derivative products and ISDA/CSA/GMRA concepts is preferred. Requires ability to work in a fast-paced, deadline-driven environment with hybrid schedule at the Charlotte, NC location; FINRA Series 7/99 licenses are preferred.
Required Qualifications
- 2+ years of Capital Markets industry experience, or equivalent demonstrated through one or a combination of work experience, training, military experience, education
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