Join our dynamic Commercial and Investment Banking Treasury (CIBT) Balance Sheet and Liquidity Analytics group as an Analyst and play a crucial role in shaping the future of our organization. This is an exciting opportunity to work closely with senior leadership and make a significant impact on our balance sheet and liquidity management.
As an analyst on Treasury Balance Sheet Controller in the CIBT Balance Sheet and Liquidity Analytics group, you will be responsible for analyzing, reporting, and controlling the CIB Balance Sheet. You will collaborate with the wider Treasury team and interact with all lines of business and liquidity teams to analyze the impact on the CIB liquidity and capital position. Attention to detail, ownership of projects, proactive management, and the ability to operate in a fast-paced environment are essential. Strong interpersonal, organizational, and communication skills are required.
The Commercial & Investment Bank Treasury (CIBT) manages the liquidity, balance sheet, and capital positions of the investment banking businesses, establishes transparent funds transfer pricing policies, and develops methodologies to improve leverage, capital, collateral, and liquidity risk management. CIB Treasury also works with Global Treasury on stress testing, resolution planning, liquidity risk metrics, and regulatory reporting.
Job Responsibilities:
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About the Team: JPMorgan Chase offers innovative financial solutions globally. We value diversity and inclusion, providing equal opportunities and accommodations for all applicants and employees.
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