Treasury & Chief Investment Office Associate

JPMorganChase

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profile Job Location:

Singapore - Singapore

profile Monthly Salary: Not Disclosed
Posted on: 21 hours ago
Vacancies: 1 Vacancy

Department:

Finance

Job Summary

Description

Join a team where your expertise in FX and liquidity management will help shape our strategic direction. We offer a collaborative culture that values integrity innovation and personal growth. Here you will work alongside talented professionals and have the opportunity to develop your skills and advance your career. Take the next step and help us deliver excellence in every transaction.

As a Treasury and Investment Office Associate in our Singapore team you play a key role in managing liquidity and foreign exchange risk. You will help us optimize funding execute FX deals and support regulatory compliance all while working in a supportive and inclusive environment. You will collaborate with colleagues across functions and contribute to our commitment to operational excellence. This is your opportunity to grow learn and make a meaningful impact.

Job responsibilities

  • Perform market analysis and execute foreign exchange deals to hedge non-USD currency exposure
  • Manage daily funding and liquidity risk for Singapore and related entities
  • Oversee collateral and reserve management to meet regulatory requirements
  • Optimize the firms balance sheet through effective management strategies
  • Maintain FX interest rate and liquidity positions within assigned limits
  • Execute funding trades including money markets repo and reverse repo and FX transactions
  • Submit daily pricing and transfer pricing rates for loans and deposits
  • Estimate and report daily profit and loss
  • Prepare and review liquidity-related reports including collateral and stress test reports
  • Collaborate with internal teams and liaise with interbank counterparties and stakeholders
  • Provide holiday backup support for other Asia Pacific branches as needed

Required qualifications capabilities and skills

  • Bachelors degree in Finance Economics or a related quantitative discipline
  • Minimum 3 years of experience in APAC currency markets fixed income funding liquidity and balance sheet management
  • Demonstrated experience in foreign exchange and money market transactions
  • Strong attention to detail and understanding of risk in investment activities
  • Proven ability to ensure compliance with regulatory and internal requirements
  • Excellent teamwork interpersonal and communication skills
  • Self-directed highly motivated and able to work independently
  • Proficiency in Microsoft Excel PowerPoint Bloomberg and Reuters Eikon

Preferred qualifications capabilities and skills

  • Experience in CNH foreign exchange and money markets
  • Knowledge of VBA and coding
  • Experience preparing regulatory reports and stress tests
  • Exposure to collateral and reserve management
  • Ability to work effectively in a fast-paced dynamic environment
  • Advanced analytical and problem-solving skills
  • Professional certifications such as CFA or FRM are advantageous



Required Experience:

Chief

DescriptionJoin a team where your expertise in FX and liquidity management will help shape our strategic direction. We offer a collaborative culture that values integrity innovation and personal growth. Here you will work alongside talented professionals and have the opportunity to develop your skil...
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Key Skills

  • Eclipse
  • Apache
  • Drafting
  • Audio Visual
  • AutoCAD Drafting
  • ACCA

About Company

Company Logo

JPMorganChase, one of the oldest financial institutions, offers innovative financial solutions to millions of consumers, small businesses and many of the world’s most prominent corporate, institutional and government clients under the J.P. Morgan and Chase brands. Our history spans ov ... View more

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