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The Corporate & Investment Bank Treasury is a critical function within CIB Finance and Business Management. It is responsible for managing the liquidity and capital positions of the Corporate and Investment Banking businesses, establishing transparent and market-based funds transfer pricing policy, and developing methodologies and metrics to improve the liquidity risk management capabilities of the Corporate and Investment Bank. CIB Treasury interacts heavily with Corporate Treasury in developing consolidated liquidity metrics and coordinating analysis and reporting for regulators and rating agencies on related topics. Finally, CIB Treasury is responsible for ongoing liquidity management of the CIB's legal entities such as its two U.S. broker-dealers, J.P. Morgan Securities LLC ("JPMS LLC") and J.P. Morgan Clearing Corp ("JPMCC").
Specific responsibilities may include:
Work closely with Firm-wide Regulatory Reporting (FRRA) team to report of CIB wide Globally Systemic Important Bank (GSIB), RWA and Supplementary Leverage Ratio on a quarterly basis
Provide supervision in managing CIB-wide GSIB score attestation model in accordance to Regulatory Reporting Accountability Framework
Supervise the production of monthly CIB Supplementary Leverage and Capital Ratio reporting, develop self as a subject matter expert in the area
Own the process to allocate capital under "blended capital framework" to CIB sub lines of businesses
Assist in providing monthly CIB Treasury Balance sheet and P&L analytics to senior management
Work with team to development various process & control improvement across the function
Handle ad-hoc request from controllers in lines of businesses to answer questions related to Capital Allocation, Funds Transfer Pricing, Liquidity, etc.
Work closely with planning & analysis team to develop guidance for the budget and planning process
Daily monitoring of CIB Treasury Balance sheet, identify, escalate, resolve and document any issues during the process
The candidate must be a self-starter who is able to work in a fast paced, results driven environment, be confident and have excellent written and verbal communication skills, as this role will have global exposure and responsibility across varying levels of management.
B.A./B.S. in Finance or related field
10 years of job experience, including 5+ years of experience in a product control function or similar
Clear and concise written and verbal communication abilities, along with the ability to tailor a message to various levels of management
Working knowledge of Corporate & Investment Bank products, along with financial theory and accounting principles
Strong analytical, investigative problem-solving, and decision making skills
Established track record of delivery multiple deliverables in a complex environment
Focused work ethic, good business sense, and demonstrated initiative
Flexibility and capability of engaging various functions, locations, and businesses
Excellent working knowledge of Excel and PowerPoint (including Pitch Pro)
Strong attention to detail
Strong interpersonal and relationship building skills
Knowledge in capital related topics such as Basel rules and Basel RWA/GSIB, Liquidity Coverage Ratios a plus
About JP Morgan:
J.P. Morgan is a global leader in financial services, offering solutions to the world's most important corporations, governments and institutions in more than 100 countries. We have a sophisticated local market presence in Europe, Middle East and Africa which is complemented by staff around the world who support our growth and serve our clients 24 hours a day, 365 days a year. We are excited to expand our team in Poland and we're looking for collaborative, innovative and dedicated individuals to join us in our new corporate centre in Warsaw. Bring us your expertise and you'll be part of a global community, working with people around the world and with a company that's committed to investing in you and making a success of this key new location for our business.
Internal Number: 5871079
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