drjobs Corporate Treasury – Liquidity Management Analyst/Associate

Corporate Treasury – Liquidity Management Analyst/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 Our Treasury and Chief Investment Office (TCIO) is at the forefront of managing the firms liquidity and financial risks. As part of our dynamic team youll play a crucial role in shaping the future of liquidity management across our EMEA entities. This is your opportunity to work with industry leaders and contribute to innovative solutions in a fast-paced environment.


As an Analyst/Associate in the EMEA Balance Sheet and Analytics team you will be instrumental in managing liquidity across JPMorgans EMEA entities. You will collaborate with us to interpret and implement liquidity regulations oversee regulatory returns and produce analytics that drive effective liquidity management. Together we will ensure the efficient usage of liquidity resources and contribute to strategic initiatives.

Job Responsibilities:

  • Develop and maintain an understanding of liquidity regulations and stress testing methodologies.
  • Manage liquidity for EMEA legal entities using your expertise.
  • Analyze daily liquidity positions and funding requirements.
  • Produce and distribute daily MIS to key stakeholders.
  • Conduct value-added analysis of medium and long-term liquidity trends.
  • Collaborate with internal clients and stakeholders across various teams.
  • Supporting the team in the interpretation of regulatory liquidity reporting requirements including but not limited to the LCR NSFR and PRA110 alongside related policy work and reviews.
  • Create monthly and quarterly reports for TCIO management.
  • Assess business initiatives and their impact on liquidity and funding.
  • Support ad hoc internal and regulatory initiatives.

Required Qualifications Capabilities and Skills:

  • Experience in financial services with a focus on liquidity management and treasury.
  • Ability to operate under scrutiny and collaborate across seniorities.
  • Excellent analytical and presentation skills for complex issues.
  • Strong communication skills for coordination across business lines and regions.
  • Ability to excel under pressure and prioritize multiple tasks.
  • Proficiency in leveraging technology for data analysis and presentation.





Required Experience:

IC

Employment Type

Full-Time

Company Industry

Department / Functional Area

Finance

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