OMERS Administration Corporation

Analyst, Funding and Collateral Operations

Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • 5-7 years of experience in investment operations focusing on public market instruments, collateral management, and cash management.
  • Proven ability to communicate effectively with stakeholders and resolve operational issues collaboratively.
  • Strong analytical skills with meticulous attention to detail and ability to provide practical solutions to complex problems.
  • University degree in finance or a related field, with progress towards professional designations like CFA or CPA preferred.
  • Experience with investment accounting systems; familiarity with tools like Calypso or Bloomberg is an advantage.

Responsibilities

  • Maintain accurate records of cash, collateral, and financing transactions, ensuring completeness in reporting and reconciling.
  • Execute control checks on OTC derivatives and prime brokerage programs to ensure compliance with internal policies and regulations.
  • Coordinate funding requests and cash distributions between OMERS entities and external parties, ensuring transparency in transactions.
  • Forecast daily cash activity and balances to key stakeholders and manage cash settlements for various investment products.
  • Onboard and oversee maintenance of counterparties, ensuring compliance with necessary ratings and financial standards.
  • Prepare comprehensive management reports on cash forecasting, compliance, and trade settlements, highlighting any anomalies and required actions.
  • Identify and recommend process improvements, including automation, and develop the necessary documentation to support these updates.

Benefits

  • Participation in a hybrid work model requiring a minimum of 4 days in the office.
  • Access to group benefits and retirement plans for enhanced job security and health coverage.
  • Opportunity for annual Incentive Awards based on both short-term and long-term performance metrics.
Full Job Description

The Funding and Collateral Operations team is responsible for supporting the investment groups in transacting in multiple products and operating across various global markets and jurisdictions.  The team operates and manages investment middle office functions critical to the life cycle events of various investment products resident in the portfolio. 

 

The Analyst plays a key role in operating and managing middle office workflows as it relates to OTC and prime broker collateral, fundings and distributions between multiple OMERS entities and external parties, cash forecasting and administration, financing administration and on-boarding and managing various counterparties associated with investment transactions.  The products operated in this role include cash, collateral, commercial paper, short term securities and term deposits, repos, fixed income with additional exposure to equities, private investments, derivatives and foreign exchange.

We believe that time together in the office is important for OMERS and Oxford, the strength of our employees, and the work we do for our pension members. Our hybrid work guideline requires teams to come to the office a minimum of 4 days per week.

 

You will be responsible for:

  • Responsible for the book of record for cash, collateral and financing transactions to ensure settlement, income entitlements and forecasting, valuation, asset exposure reporting, reconciliations and the sub ledger are complete and accurate.

  • Perform control checks between OMERS and counterparty records for the OTC derivatives and prime brokerage programs for collateral management purposes. Manage applicable collateral transaction activity to ensure timely and accurate settlement, and adherence to internal policies and regulatory requirements including OTC margin clearing requirements. 

  • Coordinate funding requests and distributions between various OMERS entities, external parties and custodians, and fulfill cash forecasting reporting requirements with the investment liquidity team.  Responsible for accurate and timely confirmation and settlement of cash transactions by identifying and resolving trade details with internal and external parties.

  • Responsible for accurate and timely forecasts of cash activity and balances on a daily basis to the investment liquidity team, management and OMERS entities, and monitoring and confirming cash settlements for all products.  Provide value added client servicing on a consistent basis to internal and external clients.

  • Coordinate external party on-boarding requirements and oversee all the ongoing counterparty maintenance requirements for the products invested in including monitoring counterparty ratings, interest and overdraft rates. 

  • Service and maintain bank accounts across OMERS entities, including opening and closing accounts.  Ensure banking documentation is kept current and complete KYC requests as directed. 

  • Prepare management reports on a variety of subject matters including trade limit monitoring, compliance reporting, cash forecasting, asset exposures and trade settlements. Highlight and explain any outliers and provide commentary as needed.

  • Responsible for daily, monthly and annual cycles including internal trading, reporting and accounting requirements, as well as industry market timelines associated with products and jurisdictions.

  • Identify, recommend and assist in implementing processes/controls/productivity improvements including automation of current processes.  Responsible for developing documentation to support changes proposed.

  • Maintain up to date knowledge of OMERS policies regarding sub delegation of investment authority, signing authorities, valuations and third-party agreements (GMRAs, Prime Broker Agreements, ISDA/CSA, Private Investment Agreements) and apply to daily activities to ensure compliance.

  • Enhance and update existing desk documentation of policy and procedures as it relates to areas of responsibility.  Assist in developing new documentation as required.

  • Maintain strong understanding of investment products and customer needs in order to respond quickly and accurately to questions and problems that arise.

  • Provide inputs and information associated for audits and ensure completeness and accuracy.

  • Foster effective working relationships inclusive of the other teams within IO&A, the investment division, OMERS investment entities, counterparties, prime brokers, custodian and auditors as appropriate.

  • Participate in special projects as required.

 

Required Skills and Experience

  • Experience with Investment Operations – Strong knowledge of public market instruments, cash management, collateral management, funding activities, and settlement processes.
  • Interpersonal, Communication & Stakeholder Management Skills – Proven ability to build effective relationships, communicate clearly with internal and external stakeholders, and collaborate to resolve operational issues in a timely and professional manner.
  • Analytical & Problem-Solving Skills – Strong attention to detail with the ability to analyze complex issues, identify root causes, and recommend practical solutions while maintaining accuracy and control.

Preferred Skills and Experience

  • University degree in finance or other applicable discipline.  Completed or working towards a professional designation including CFA and CPA. 

  • Minimum 5 years of experience in investment operations with comprehensive operational knowledge of public market instruments, cash and collateral management.  Exposure to private markets will be an asset.

  • Excellent interpersonal and communication skills are essential to deal with all levels within the organization and external contacts.  Ability to build strong relationships with both internal and external stakeholders.

  • Ability to prioritize multiple responsibilities to meet deadlines. Needs to be flexible. 

  • Detail oriented and demonstrated aptitude for quantitative and qualitative analysis and problem solving.

  • Exposure to investment accounting, reporting and audit control practices.

  • Proficient in Excel and Word. Investment accounting systems experience is required.  Exposure to Calypso, TriMargin, Charles River Development (CRD) and Bloomberg would be an asset.

  • Self-starter able to work independently with minimal supervision.  Keen to learn and continuously improve processes and reports.

 

  

This posting is for an existing vacancy.

 

The expected salary range for this position is $72,000.00 - $108,000.00 per year.

 

You may also be eligible to receive an annual Incentive Award pursuant to our Short-term Incentive plan and our Long-Term Incentive plan (if applicable), and to participate in our group benefits and retirement plans – details on these elements of compensation are included within OMERS & Oxford offer letters.

 

About OMERS Administration Corporation

OMERS Administration Corporation is a Canadian pension fund that manages investments for the Ontario Municipal Employees Retirement System (OMERS). OMERS is one of Canada's largest pension funds, with over 500,000 members and over CAD 100 billion in net assets. OMERS Administration Corporation manages a diversified portfolio of investments across various asset classes, including public equity, private equity, infrastructure, real estate, and fixed income. The company's mission is to provide secure and sustainable pensions to its members while generating returns that help fund their pensions. OMERS Administration Corporation is headquartered in Toronto, Canada.
Learn more about OMERS Administration Corporation
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2,700 employees
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