Full-time

Collateral Management Analyst

Posted by ThoughtFocus • Hyderabad, Telangana, India

📍 Hyderabad, Telangana 🕒 February 18, 2026

About the Role

Treasury

  • Several candidates were found to be limited to collateral management, lacking broader Treasury exposure.
  • Treasury Candidates must go beyond just collateral management.
  • Look for well-rounded exposure: market risk, VAR, OTC derivatives, margin models, quantitative analytics, etc.
  • Skill Set Combinations Required
  • Ideal profiles should include:
  • Collateral Management (not just alone)
  • OTC Exposure (2+ years minimum;
    5+ years preferred)
  • Initial Margin / SIM (Standard Initial Margin)
  • Market Risk
  • Derivatives (Futures, Forwards, Options, Swaps)
  • VAR (Value at Risk)
  • Quantitative Analytics
  • Stress Testing / Margin Model experience

Ready to Apply?

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