About The Position

As part of Vanguard's Middle Office organization, the Derivatives & Collateral Management team plays a critical role in protecting Vanguard funds by ensuring appropriate collateral is exchanged with some of the world's largest financial institutions. This position serves as a key control point between our investment, trading, and external counterparties, helping to mitigate risk and support the firm's derivatives activity. This position offers a unique opportunity to gain exposure to financial markets, derivatives, risk management, and investment operations while working in a collaborative environment. You'll have the chance to drive process improvements, partner with internal and external stakeholders, and develop expertise in a specialized area that directly supports Vanguard's investment business.

Requirements

  • Minimum of 2 years of related work experience
  • Undergraduate degree or equivalent combination of training and experience.
  • Strong analytical, problem-solving, and communication skills
  • This role is designated as a Fund Access Person position and is subject to applicable trading restrictions and requirements.

Nice To Haves

  • Accounting, Finance, Economics, or Business-related degree preferred
  • Experience with derivatives and/or collateral management is preferred but not required

Responsibilities

  • Manage daily collateral operations and relationships with assigned broker-dealers and custodians.
  • Investigate and resolve operational breaks, reconciliation differences, and complex exceptions.
  • Lead and support process improvement initiatives that enhance efficiency, controls, and risk management.
  • Partner with internal teams and external organizations to resolve issues and ensure seamless operations.
  • Serve as a subject matter expert and help strengthen procedures, controls, and team knowledge.
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