Manager Uncleared Margin Rules Valuations

HSBC
Philippines
Full timeFunction: Administration & Executive AssistanceSkills: ["Proactive","Communication","Business writing"]

Lead the end-to-end delivery of uncleared derivatives Initial Margin (IM) margin rules by reviewing the regulatory framework and partnering with internal stakeholders across collateral, regulatory risk analytics, and market risk management. Develop and maintain collateral & risk framework standards, ensure timely delivery of collateral and risk deadlines, and perform quality review of final data submitted to downstream collateral users. Use strong quantitative skills and tooling to support risk reporting and analysis.

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FursaFursa
HSBC
HSBC
2 days ago

Manager Uncleared Margin Rules Valuations

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Last checked: 4 hours agoStatus: Live

Job Summary

Lead the end-to-end delivery of uncleared derivatives Initial Margin (IM) margin rules by reviewing the regulatory framework and partnering with internal stakeholders across collateral, regulatory risk analytics, and market risk management. Develop and maintain collateral & risk framework standards, ensure timely delivery of collateral and risk deadlines, and perform quality review of final data submitted to downstream collateral users. Use strong quantitative skills and tooling to support risk reporting and analysis.
Location: Philippines
Employment Type: Full time
Job Function: Administration & Executive Assistance
Seniority: Manager level

Key Responsibilities

  • •Review and interpret the regulatory framework for Margin Rules for Uncleared Derivatives (MRUD) Initial Margin (IM).
  • •Coordinate stakeholders for the end-to-end delivery of MRUD Initial Margin (IM).
  • •Support the development of a Collateral & Risk framework for Initial Margin (IM).
  • •Collaborate with HSBC counterparts, Collateral Management, Regulatory Risk Analytics (RRA), and Global/Regional Market Risk Management.
  • •Ensure timely delivery of collateral & risk deadlines and perform thorough review of final data for downstream collateral users.

Key Requirements

  • •Risk Analyst level.
  • •Pro-active approach with good communication and business writing skills.
  • •Very good mathematical/statistics skills.
  • •Good market risk and/or counterparty risk knowledge.
  • •Mastery of VBA and SQL, plus experience in market/counterparty risk reporting and prior stress testing/product control experience.
Skills:ProactiveCommunicationBusiness writing
Tech Stack:VBASQL

Company Brief

HSBC
Global banking and financial services organisation offering retail, commercial, corporate and investment banking, wealth management, and global markets services across Europe, Asia, the Americas and the Middle East.
Industry: Banking
Company Size: Enterprise (1,001+ employees)
Revenue: USD 1B+
Growth: Public Company
Valuation: Public Company (Market Cap in USD)
Funding: IPO / Publicly Listed
Headquarters: London, United Kingdom
Founded: 1865
Glassdoor
Glassdoor: 3.6
WebsiteLinkedIn