Rui Magalhães
@ruimagalhes
I manage collateral, margin reconciliation, and operational risk for institutional hedge fund clients.
What I'm looking for
At BNP Paribas, I manage Initial Margin and Variation Margin processes for institutional clients, with a focus on hedge funds. I reconcile margins and portfolios across Equities, FX, Interest Rates, FOC, and Prime Brokerage, investigating valuation differences and margin disputes to support regulatory compliance and reduce operational risk.
I've also managed corporate and retail banking client portfolios at Novobanco, covering lending, collateralized accounts, financing, insurance, investments, and relationship management. I bring hands-on experience using ONCA, MarketWire, Transcom, Power BI, Excel, Bloomberg, and data reporting tools to coordinate effectively with clients, Front Office, Risk, Operations, and Clearing teams.
Experience
Work history, roles, and key accomplishments
Collateral Operation Analyst Senior
BNP Paribas
Jul 2023 - Present (3 years 2 months)
Managed daily Initial Margin and Variation Margin processes for institutional clients, specializing in margin and portfolio reconciliation. Coordinated with clients and internal teams to ensure efficient collateral lifecycle execution and regulatory compliance.
Education
Degrees, certifications, and relevant coursework
University of Minho
Bachelor's Degree, Economics
2015 - 2018
Bachelor's Degree in Economics from the University of Minho, completed in 2018.
Tech stack
Software and tools used professionally
Availability
Location
Authorized to work in
Job categories
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