Supervisor, Securities Lending Operations

2 weeks ago


Kuala Lumpur, Malaysia Royal Bank of Canada Full time

**Job Summary**

The Collateral Management Supervisor plays a critical role in supporting the Securities Lending business by ensuring accurate and timely margining, mitigating counterparty and operational risk, and maintaining strong controls over collateral activities. This position requires a strong understanding of margin processes, market regulations, and collateral operations within a lending environment.

**What is the opportunity?**

RBC Investor Services (IS) has an opportunity available for someone looking to grow within a fast paced, dynamic environment. In this role, you will be responsible for ensuring that all Securities Lending transactions are fully secured by acceptable collateral and minimum margin requirements, while ensuring that all elements of risk and compliance are in line with contractual, RBC IS policy and regulatory requirements.

Working hours : 3pm-12am / 4pm-1am

Region : Europe

**What will you do?**
- Perform asset valuations on loan and collateral positions to ensure RBC IS and its clients are protected
- Develop and implement changes to collateral procedures and monitor acceptability of specific collateral portfolios based on the risk in quality, liquidity, marketability, concentration limits and diversification limits
- Manage the policy adherence and risk monitoring functions.
- Monitor all system records for collateral transactions to ensure integrity of balances.
- Maintain relationship with internal and external stakeholders to facilitate actions related to Securities Lending operations.
- Manage relationship with counterparties, internal trading desks and Securities Lending teams.
- Complete investigations, analysis, and solution implementation where applicable.
- Continually ensure high standards of operation, risk and relationship management within the group.
- Ensure timely escalation to Management of any situation where Securities Lending is outside set Risk Policies outlining mitigation and recommendations for changes, if necessary.
- Develop technical expertise and perform testing for critical and strategic projects for both Operations and Product Development
- Experience in supporting business initiatives - including collateral optimization strategies and the impact of new product launches (e.g., Fixed Income, Equities, Mutual Funds) on operational processes.
- Improve the risk profile and efficiency of the group by continuous efforts to identify and recommend changes.
- Other duties as assigned
- Collaborate closely with Front Office, Client Services, and Risk teams to address and resolve margin call issues or discrepancies promptly

What do you need to succeed?
Must-have
- At least a degree in related field
- Professional knowledge of financial instruments, capital markets and operations.
- Demonstrated strategic team player with the ability to grow and motivate others
- In-depth knowledge of Securities Lending and Margin Management - including market practices, margin methodologies, and collateral eligibility criteria.
- Strong control mindset - with the ability to identify risk, implement controls, and ensure adherence to policies and procedures.
- Business reengineering and process optimization skills - with a track record of streamlining workflows to drive efficiency and scalability.
- Excellent communication and stakeholder engagement skills - with the ability to interact effectively across Front Office, Risk, Legal, and Operations.
- Initiative and accountability - ability to manage multiple priorities in a fast-paced environment while maintaining accuracy and control.
- Team leadership and knowledge sharing - ability to guide, mentor, and support team development, especially during change or growth phases.

Nice-to-have
- Systems literate
- VBA coding and macro development is an asset
- Operational and Client Service Experience
- Securities Lending experience

**What’s in it for you?**

Our Client thrive on the challenge to be their best, progressive thinking to keep growing, and working together to deliver trusted advice to help our clients thrive and communities prosper. Our Client care about each other, reaching their potential, making a difference to their communities, and achieving success that is mutual.
- A comprehensive Total Rewards Program including performance based bonuses, flexible benefits, and competitive compensation
- Leaders who support your development through coaching and managing opportunities
- A world-class training program in financial services
- A collaborative dynamic culture where personal initiative and hard work are recognized and rewarded

**Job Skills**

Active Learning, Adaptability, Business Appraisals, Communication, Critical Thinking, Decision Making, Effectiveness Measurement, Microsoft Office, Operational Delivery, Process Improvements, Securities Lending, Stress Management, Written Communication

**Additional Job Details**

**Address**:
PERSIARAN IRC 2, IOI RESORT CITY IOI CITY TOWER ONE:PUTRAJAYA

**City**:
Putraja



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