Liquidity Risk Reporting Associate

6 dni temu


Warsaw, Polska JPMorgan Chase & Co. Pełny etat

Build your great potential with Treasury team and start using your knowledge of financial instruments and their liquidity risk profile.

As a Liquidity Risk Reporting Associate  within the Treasury and the Chief Investment Office (TCIO) Treasury Middle Office you will have a chance to support daily and monthly liquidity risk data quality review and support of production of regulatory liquidity metrics such as LCR/NSFR/ALMM.

You will collaborate with number of experience development areas including product or technical side, participate in top tier industry changes within the reporting process and have a chance for networking opportunity across widespread Team members based in Hong Kong, India, UK, EU and North America. While working within Treasury Middle Office team you will receive dedicated New Joiner Training Program, dedicated budget for equipment while working from home and hybrid working model.

Job Responsibilities:

Perform financial product day to day data analysis to identify & resolve liquidity reporting data issues Perform product reconciliations & assist with daily variance analysis Support the production of internal and external global liquidity regulatory reporting (LCR, ALMM, NSFR, IRR) in line with Basel guidance Identifying improvements and leverage available toolsets (Alteryx, Xceptor, Tableau, Excel) to own and implement changes through to completion Support technology enhancements and assisting in technology related developments, ensuring appropriate prioritization and end user testing Continually identify and enhance the overall control environment and operating model across the core operational activities Improving timeliness and reducing operational risk to the firm

 Required qualifications, capabilities, and skills:

A minimum of 4+ years’ experience in the financial services industry within operations and working with large sets of financial data An experience with financial instruments like Deposits, Loans Bonds, Futures, Forwards (Derivatives) An experience or interest within liquidity risk management in financial institutions Bachelor degree required (Engineering, Finance or Business degree) Strong analytic, creative thinking and problem solving skills, aptitude to work with numbers, attention to details Strong MS Excel to be able to work & analyze large data sets Potential adherence to 8 hours shift model working in between 9 AM – 7 PM with weekly/bi-weekly rotations
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