Senior Product Manager – Collateral Management Duration: 6+ Months Contract Interview Process: 1–2 Internal Video Interviews + 1 Client Round About the Role: We are seeking an experienced Senior Product Manager with deep expertise in Collateral Management, Margin Operations, and Capital Markets technology platforms to support a major collateral transformation initiative within a leading global banking environment. This role requires strong domain knowledge across OTC derivatives, securities finance, exposure management, and regulatory margin frameworks, along with experience driving technology and process enhancements across collateral platforms and workflow tools. The ideal candidate will act as a bridge between Front Office, Risk, Treasury, Operations, and Technology teams to support collateral optimization, exposure analysis, regulatory compliance, and platform modernization initiatives. Key Responsibilities: Exposure & Margin Analysis Analyze daily counterparty exposures across OTC derivatives, repos, securities lending, and prime brokerage portfolios Support calculation and validation of Initial Margin (IM), Variation Margin (VM), and collateral calls Investigate margin disputes, exposure breaks, and collateral shortfalls Assess impact of market movements, lifecycle events, and new trades on collateral requirements Coordinate closely with Front Office, Risk, Treasury, and Operations teams Evaluate collateral eligibility, haircuts, and optimization strategies Support collateral allocation and funding efficiency initiatives across business lines and legal entities Analyze collateral inventory, usage trends, and concentration risks Identify opportunities for process improvement and operational optimization Regulatory & Risk Management Support compliance with UMR, EMIR, Dodd-Frank, and Basel III/IV regulations Contribute to regulatory reporting, governance, controls, and audit activities Support model validation and collateral methodology reviews Maintain documentation related to collateral workflows and controls Translate business requirements into functional specifications for collateral systems and workflow platforms Partner with Technology teams on enhancements, implementations, testing, and automation initiatives Perform data analysis, reconciliations, and root cause investigations across trade, exposure, and collateral datasets Support modernization initiatives across collateral and margin management platforms Required Skills & Experience 8+ years of experience in Collateral Management, Margin Operations, or Capital Markets Product Management Strong understanding of OTC derivatives, securities financing, exposure management, and collateral workflows Hands‑on experience with Initial Margin (IM), Variation Margin (VM), and collateral optimization processes Experience working with collateral platforms such as Acadia, Murex, Calypso, or similar systems Strong understanding of UMR, EMIR, Dodd-Frank, and Basel regulatory frameworks Experience working in Agile delivery environments with cross‑functional stakeholders Strong analytical, communication, and stakeholder management skills Experience working within large banking or financial services organizations #J-18808-Ljbffr