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9 Trabajos a distancia y desde casa en línea







Hybrid Payment Business Analyst
Cognizant · Halifax, Nova Scotia, CA', 'Calgary, Alberta, CA', 'Montreal, Quebec, CA, Estados Unidos De América · Hybrid

Hybrid Développeur(-euse) pour l’application mobile III, iOS – Magasinage de voyage / Mobile Engineer III, iOS – Trip Shopping
Expedia Group · Montreal, Quebec, CA, Estados Unidos De América · Hybrid
Hybrid Treasury Analyst
Squarepoint Capital · Montreal, Canadá · Hybrid
- Junior
- Oficina en Montreal
Position Overview:
Primary focus will be Cash and Collateral Management across all global portfolios with an emphasis on safeguarding of assets and obtaining capital efficiencies.
** Candidate should be comfortable in a time sensitive environment and deliver high quality results by collaborating with colleagues and global financial institutions in multiple time zones. **
- Monitoring of margin and collateral requirements and ensuring Squarepoint’s margin is competitive and accurately applied.
- Reconcile currency and collateral balances held at brokers and financial institutions. Ensure accounts are properly credited and debited as originally instructed.
- Optimize cash balances for liquidity, yield enhancement and collapsing boxed currencies across financial counterparties.
- Continuously build upon and improve scalable processes that enable efficient portfolio finance activities.
- Monitor counterparty exposure and execute remedial action to mitigate risk by reducing excess collateral, posting into tri-party structures (UMR), and swapping cash/collateral.
- Partner with internal trading desks and investment teams on portfolio financing and collateral requirements.
- Review margin replication and internal metrics daily for consistency and accuracy.
Required Qualifications:
- 0-2 years prime broker margin experience covering multiple hedge strategies. Preferred experience can be either a prime broker or a global hedge fund.
- Proficiency in global asset types and instruments: futures, foreign exchange, equities, equity swaps, contracts for differences, investment grade and high yield corporate bonds, sovereign debt, mortgage backs, repo, options, credit default swaps, interest rate swaps.
- Working knowledge of global currency and collateral transfers across industry applications and utilities, FED, SWIFT, DTC, FICC.
- Proficiency in margin calculations including hedged and cross product margin optimization.
- Knowledge of UMR and tri-party structures.
- Understand the importance of our team concept. Establish long-lasting organizational relationships that will foster a productive work environment.
- Demonstrate proficiency in written and oral communication skills.
- Ability to build upon and improve scalable processes that enable efficient portfolio finance activities and new business initiatives.
- Programming skills and writing macros are a plus.