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J.P.Morgan is a global leader infinancial services, offering solutions to the world's most importantcorporations, governments and institutions in more than 100 countries.
Derivatives Operations provide operational support to Markets, InvestorServices and Banking businesses across the CIB. Key product areas includeCurrencies, OTC Derivatives, Collateral Principal, Global Clearing, and TradingCost Management with a global team of ~1400 colleagues. Services provided toour Businesses include:
Typicaldaily activity includes settling in excess of $2TRN via FX trades, leading aMarkets OTC portfolio of 3M trades, managing collateral balances in excess of$350BN and processing ~700K cleared and intermediary trades
Processes ~750,000 cleared and intermediated tradesdaily
Provides clearing at ~60 global Clearing Houses
Settled USD equivalent ~24Bn in physical deliveries
We are an equal opportunityemployer and value diversity at our company. We do not discriminate on thebasis of race, religion, color, national origin, gender, sexual orientation,age, marital status, veteran status, or disability status.
Bournemouth . Over 4,000 employees work at the Bournemouth Corporate Center. We take immense pride in our work and in helping our community. We're proud to leverage the local workforce and engage closely with local schools and charities. Our campus is set in 13 acres of grounds and includes on-site Tennis Courts and easy access to local sports facilities. We have good transport links including our commuter bus service. The site is currently benefitting from massive investment, redeveloping the office space into a High Performance Workspace and adding exciting new offerings to our communal spaces. We have 2 restaurants on site offering a wide range of healthy options. The staff are able to join in a wide range of groups from yoga to language classes, to groups supporting the diverse range of cultures represented here.
Position Description: The position is in the Treasury Operations team within Global Clearing. The team is responsible for Treasury functions including cash funding, global settlements, FX processing, reconciliation and break resolution, collateral management for margin obligations at Central Counterparties and owning the full life cycle of the underlying securities trades of expired options and futures.
The roles & responsibilities of the Treasury Operations Associate are as follows:
Oversight and/or Team leadership/Management of a Futures & Options Treasury Operations team
Ability to understand and implement complex change requests within the Derivatives & F&O business
Drive the Operations business transformation agenda
Strong awareness of Industry change impacting the Derivatives Environment. I.e. EMIR, Dodd Frank, CASS, Margin rules
Accountability for accuracy of team output , ongoing efficiencies and process improvemen ts
Proactive management of operational risk, recognition of gaps and development of solutions
Lead and oversee operational changes, providing direction/support, accountability for successful implementation
Capacity management across own team both within location and across locations as required, to include crisis management, acting as an escalation point for production issues across locations
Liaising with all internal stakeholders to ensure controlled and timely deliveries are met on a daily basis.
Understand and ensure compliance with all control and regulatory requirements
Identify process improvements and efficiency opportunities in daily workflow
To proactively identify any recurring issues and fix accordingly.
Building and sustaining, strong working relationships with internal lines of business and the external client base.
Oversee all Audit liaison and prioritize accordingly
Ensuring that all escalations are investigated and resolved in a timely manner
Strong Partnership with the global team that are based in Delaware, Chicago, Mumbai & Singapore
Adhere to operational procedures to ensure a controlled environment
Ensure all exchange and client deliveries are settled within exchange deadlineS
Effective and accurate funding of exchange accounts during fixed income & equity deliveries
Processing of client FX transactions
Escalation of issues where appropriate to Management
CASS responsibilities for cash and collateral obligations
Ad hoc request management and investigation of operational issues
A Treasury Operations Specialist should possess the following skills:
Previous Operations management experience with a strong background in Derivatives/Futures & Options. Minimum 5 years.
Strong familiarity with OTC Derivative products across all Asset Classes
Must be detail oriented, highly responsible and able to ensure work is managed within all Service Level Agreements
Proven experience of managing complex processing and ability to change and challenge the status quo
External Client services experience, or similar experience interacting with senior/demanding internal clients.
Proven experience of effective relationship building with a wide variety of stakeholders, for example; Clients, Credit Execs and Business Partners.
Must be attentive and responsive to client needs.
High level of accuracy and attention to detail is required.
Ability to work with minimal supervision.
Ability to Work in a methodical and organised manner and to follow procedures.
Excellent client communication skills and telephone manner and a strong ability to build client relationships.
Must be highly numerate with good keyboard and core system (Outlook, Excel, Word) skills.
Ability to work as part of a team and be flexible during busy periods such as month end.
Ability to prioritise workflow and work to strict deadlines agreed in legal documentation.
Strong Risk and Control Awareness - with the ability to push back on stakeholders when risk/controls could be compromised.
Strong oral and written communication skills.
Strategic thinker, able to review and implement process improvements.
Working closely with global team, Operations teams are based in London, Delaware, Singapore, Chicago and Mumbai
Self motivated and flexible approach to working hours
Participate in the implementation of strategic and ongoing STP initiatives
Dynamic & proactive team player, ensuring that the team works together in the most efficient manner
An ability to identify process & procedural inefficiencies to improve capacity, efficiency and control.
Knowledge of cash funding, global settlements & reconciliations are desired but not essential
Excellent communication (written and verbal), analytical and interpersonal skills.
Ability to adhere to strict deadlines and procedures
Strong client focus and attention to customer care
Ability to work effectively under pressure with an high accuracy rate
Internal Number: 6116280
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