New York, NY, USA
13 days ago
Vice President, Strategic Cash & Collateral Leadership

Join us and unlock unparalleled career growth and mobility, as you leverage your expertise in securities operations, trade processing, and performance system architecture. As the primary point of contact for the Front Office on cash and collateral-related exceptions, you will be instrumental in managing liquidity exposure and ensuring compliance with regulatory programs. At our company, we value your skills and offer a supportive environment where you can thrive, innovate, and make a significant impact. Embrace the benefits of being part of a forward-thinking team that is committed to your professional development and success.

As a Cash & Collateral Management Vice President (VP) within Asset Management Cross Operational Services , you will be responsible for supporting the overall Cash and Collateral Management processes, primarily working with Portfolio Managers, Investment Specialists, Traders, Risk Management, Middle Office, Technology, various Operations Teams and other support functions. Your core functions will include, but are not limited to, managing liquidity exposure, order submission of JPMorgan & third party mutual funds, managing of exposure through collateral management, primary point of contact to the Front Office for all cash and collateral related exceptions, internal operations/business initiatives as well as regulatory programs/compliance. If you have extensive familiarity of securities operations, trade processing, mainframe accounting systems and performance system architecture, you may be a perfect fit for our team. 

Job Responsibilities:

Supporting the overall Cash and Collateral Management processes.  Possibility to manage small team.Partner with portfolio managers, investment specialists, traders, risk management, middle office, technology, various operations teams and other support functionsManage liquidity exposure and order submission of fund trades & Order submission of JPMorgan & third party mutual fundsAct as the primary point of contact to the Front Office team for all cash and collateral related exceptions.  Collateral and margin management & assist offshore cash and collateral teams with escalated issues.Oversees some risk management and business analysis functions and drive strategic projects; as well as delivering initiatives aimed to help drive efficiency, mitigate risk, or meet regulatory or firm wide mandatesPartner with technology teams on application/platform prioritization, in conjunction with day-to-day production necessitiesImplement regulatory programs and ensure compliance within internal operations and business initiatives.

Required qualifications, capabilities, and skills: 

5+ years of Cash and/or Collateral Management experience and management experienceAbility to create a vision and actionable roadmap with a focus on ongoing innovation that support implementationStrong verbal & written communication skillsExtensive familiarity of securities operations, trade processing, mainframe accounting systems and performance system architectureStrong analytical, problem solving and critical thinking skills Strong ability to identify problems, design and articulate solutions, and implement changeBachelor’s degree in Finance, Economics, Mathematics (or similar discipline)

 Preferred qualifications, capabilities, and skills:

Familiarity with technologies such as Signavio, Alteryx and XceptorFamiliarity with all asset classesFamiliarity with Fund Orders/TradesFamiliarity with Collateral Management and regulatory regime.  Prior management experience
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