Boston, MA, United States
22 hours ago
Associate I - Global Fund Services Derivatives Operations
Join JPMorganChase as a Fund Services Associate I and become an integral part of our dynamic team. This role offers a unique opportunity to enhance your career by working closely with operations, financial controllers, and external partners. You'll be at the forefront of ensuring smooth fund servicing operations while contributing to process improvements. Embrace the chance to grow your skills in a supportive environment that values innovation and collaboration.

As a Fund Servicing Associate I within JPMorganChase, you will play a pivotal role in enhancing our operational services related to fund accounting and administration. Your work will have a meaningful impact within our department, as you apply your broad knowledge of fund servicing principles and practices to perform diverse activities requiring analysis and judgement. With your advanced emotional intelligence, you will build trusting relationships with peers, managers, and stakeholders, fostering a collaborative environment. Your continuous improvement mindset will drive you to propose and implement improvements to our current working methods, contributing to the efficiency and resilience of our operating platform.

Job responsibilitiesExecute routine transactions related to fund servicing, ensuring accuracy and compliance with established policies and procedures.Collaborate with operations and financial controllers to streamline processes and enhance efficiency in fund servicing operations.Foster a collaborative environment by leveraging emotional intelligence skills to build trusting relationships with peers, managers, and stakeholders.Propose and implement improvements to current working methods, contributing to the efficiency and resilience of our operating platform.Manage the daily trading activities of clients, ensuring accurate execution and oversight.Review and resolve reconciliation breaks in positions, market prices, income, cash, financing, and valuation.Support client and broker queries related to daily trade activities, providing timely and accurate responses.Investigate and amend any issues related to OTC/CFD trades, ensuring proper delivery sign-off to fund accounting and clients.Provide reconciliation services for derivative products, specifically OTC, from the Boston location.Reconcile all relevant OTC/CFD deliveries accurately and efficiently against core controls.Required qualifications, capabilities, and skillsDemonstrated expertise in fund servicing operations, with at least three years of experience focusing on fund accounting and administration, evidenced by successful execution of related tasks and responsibilities.Advanced emotional intelligence skills, with a track record of building trusting relationships and fostering collaboration in a professional setting.Experience in proposing and implementing process improvements, with a focus on enhancing efficiency and resilience in an operational environment.Proven ability to apply active listening and questioning techniques to understand and address client needs effectively.Bachelor degree or prior work experience Strong technical skills including accounting principles and theoriesKnowledge of 40 ACTs Fund Accounting, Financial Reporting and Tax Operations Ability to be effective in a global operating environment and a matrix management organizationsAbility to build and maintain effective working relationships with clients and counterparties  Self-motivated with a flexible approach to working hours 

Preferred qualifications, capabilities, and skills 

Quick learner both technical knowledge and systemsResults orientated; ability to create and sustain a target driven environment
Por favor confirme su dirección de correo electrónico: Send Email