Stock Loan Collateral Analyst

London, England, UK on site Until 8/22/2026 First posted June 9, 2026 Last posted June 9, 2026
Job description

A leading global investment bank is looking to hire an experienced Stock Loan Collateral Analyst to support a rapidly growing Securities Finance business.

This role will focus on managing collateral exposures, margin activity and counterparty relationships across a diverse stock lending portfolio.

Key Responsibilities

  • Monitor daily collateral positions and exposure levels
  • Process margin calls and collateral movements
  • Investigate and resolve collateral disputes and exceptions
  • Manage collateral substitutions and optimisation activities
  • Liaise with traders, counterparties and treasury teams
  • Ensure compliance with internal risk and control frameworks

Requirements

  • Previous experience within Securities Finance Collateral Management
  • Strong understanding of margining processes and collateral controls
  • Experience supporting stock lending or securities finance products
  • Excellent analytical and reconciliation skills
  • Strong communication and stakeholder management abilities

Benefits

6-month contract, with a view for further extension.

Salary to be discussed.

About this role

Summary

Manage collateral exposures, process margin calls, support securities finance operations.

Job title

Stock Loan Collateral Analyst

Experience level

null

Industry

finance

Location requirements

London, UK, on-site preferred, remote not specified

Salary

Not specified

Management role

No

Skills & keywords

Required skills

securities financecollateral managementmarginingreconciliationstakeholder management

Preferred skills

None specified

Specializations

securities financecollateral managementstock lending
Locations

Structured locations inferred from the posting.

London, UK

On-site City