Are you ready to make an impact in the fast-paced world of foreign exchange? Join a team where your attention to detail and problem-solving skills help drive global financial markets. At JPMorgan, you’ll work alongside talented colleagues who are passionate about delivering exceptional client service. This is your opportunity to grow your career and contribute to a dynamic, collaborative environment. Discover how your expertise can help shape the future of market operations.
As a FX Analyst within the Market Operations team, you play a key role in ensuring the smooth processing of foreign exchange transactions. You will handle confirmation and pre-confirmation of settlements, manage payment releases, maintain client and business reference data, and investigate post-settlement issues. Working with us, you will be part of a supportive team that values your contributions and encourages your professional growth.
Job responsibilities
Process Foreign Exchange and derivatives confirmation transactions, ensuring all confirmations are matched within required timeframes Resolve outstanding mismatches and address issues and queries in line with Service Level Agreements Mitigate risk by reviewing trades, identifying gaps, and implementing preventive and detective controls as per business procedures Create and publish daily management information reports on key performance and risk indicators Build and maintain strong relationships with internal and external clients Escalate issues to the team leader within appropriate timeframes Apply understanding of key controls and regulatory requirements in daily activities Participate in strategic initiatives and identify opportunities for process improvement and workflow efficiencyRequired qualifications, capabilities, and skills
Understanding of Foreign Exchange (FX) and derivatives products Knowledge of SWIFT MT messages, payment processing, and CLS settlements Strong analytical and problem-solving skills to address operational issues Effective communications, both written and verbal and stakeholder management Ability to work independently with minimal supervision and collaborate as part of a team with strong organizational skills Accuracy under high-pressure, time-critical conditions Control mindset to identify and mitigate operational risks Adaptability to staggered shift schedules Experience in investment banking environment Proficiency in Microsoft Office Bachelor's degree in Finance, Economics, Accounting, or a related disciplineRequired qualifications, capabilities, and skills
Prior experience in breaks-resolution or payments investigations roles Professional qualifications relevant to the role (such as Enhanced Competency Framework certifications, if applicable) Experience in process improvement initiatives Familiarity with regulatory requirements in foreign exchange operations Advanced skills in data analysis and reporting Experience working with global teams and strong adaptability to changing business needs Experience in investment banking environment, specifically in back office operations