The role offers the opportunity to work across business units and gain exposure to the firm’s various trading strategies.
Day-to-day responsibilities will include working closely with external counterparties and internal trading desks on position-level financing, allocation optimization, and cross-product documentation negotiation. This individual will work extensively with the Firm's partners in helping to drive and monitor operational processes and other technology projects.
• The ideal candidate will have a bachelor’s degree and two to four years of experience in collateral management and/or treasury operations at a hedge fund or asset manager.
• Applicants should be familiar with various financing arrangements and margining methodologies.
• A keen attention to detail, the ability to manage multiple projects simultaneously, and excellent written and verbal communication skills are all essential to this role