LONDON, LONDON, United Kingdom
3 days ago
Treasury Liquidity Analytics- Associate

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 (CIB’s) 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.
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