drjobs Treasury Liquidity Analytics- Associate

Treasury Liquidity Analytics- Associate

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1 Vacancy
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Job Location drjobs

London - UK

Monthly Salary drjobs

Not Disclosed

drjobs

Salary Not Disclosed

Vacancy

1 Vacancy

Job Description

Description

Are you ready to make a significant impact in the world of finance At J.P. Morgan we are seeking a dynamic Commercial and Investment Bank (CIB) Treasury Liquidity Analytics Associate to join our team. This role offers a unique opportunity to work with industry leaders and gain exposure to strategic liquidity risk management. Be part of a global leader in financial services where your contributions will help shape the future of investment banking. Join us and be a part of a diverse and inclusive team that values your talents and expertise.

As a Commercial and Investment Bank Treasury Liquidity Analytics Senior Associate in the Commercial & Investment Bank Treasury team you will play a crucial role in managing liquidity risk and enhancing our financial strategies. You will collaborate with cross-functional teams to deliver stress methodology into liquidity reporting providing valuable insights and solutions. This position offers exposure to various levels of management and a strategic view of the Commercial & Investment Bank (CIBs) activities making it an excellent opportunity for those interested in capital markets and liquidity risk management.

Job Responsibilities:

  • Collaborate with Product Risk and Technology partners to design and deliver stress methodology into liquidity reporting.
  • Partner with Liquidity Risk Infrastructure (LRI) technology and Liquidity Management to enhance liquidity risk management capabilities.
  • Serve as a Subject Matter Expert (SME) responsible for writing scope and detailed business requirements documents.
  • Provide expertise and governance on the Internal JPM Stress Framework and US LCR 6G NSFR.
  • Work closely with Front Office Regional Treasury teams and others to ensure liquidity stress methodology aligns with CIB market business requirements.

Required qualifications capabilities and skills:

  • Working knowledge of Investment Bank products including derivatives secured funding and Prime Brokerage.
  • Knowledge of funding liquidity and regulatory developments in the treasury space.
  • Excellent written and verbal communication skills with a strong track record of project delivery.
  • Proficiency in Excel and PowerPoint as well as knowledge of Tableau and Alteryx
  • Strong analytical skills critical thinking and problem-solving abilities. Ability to multi-task and work well under pressure with a commitment to tight deadlines.
  • Strong process and control mindset with attention to detail.

Preferred qualifications capabilities and skills:

  • Experience in financial theory and accounting principles.
  • Proven ability to collaborate across multiple teams and functions.
  • Demonstrated ability to deliver solution-oriented work independently.
  • Experience in coordinating input from various stakeholders.



Required Experience:

IC

Employment Type

Full-Time

Company Industry

Department / Functional Area

Finance

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