Join our dynamic team as a Corporate and Investment Bank Treasury Liquidity Methodology and Analytics Associate at J.P. Morgan, where you'll be at the forefront of managing liquidity, balance sheet, and capital positions for our Corporate and Investment Bank lines of businesses. Collaborate with cross-functional teams to innovate and refine liquidity methodologies, ensuring alignment with regulatory policies and business requirements. If you're a detail-oriented problem solver with a passion for finance and analytics, this is your opportunity to make a significant impact in a fast-paced, collaborative environment.
As a Treasury Liquidity Methodology and Analytics Associate within the Corporate and Investment Bank Treasury team, you will play a key role in managing the liquidity, balance sheet, and capital positions of the Corporate and Investment Bank lines of businesses. You will collaborate across multiple teams to develop and refine liquidity methodologies and promote the application of those methodologies into the Treasury’s liquidity management activities.
Job responsibilities
Required qualifications, capabilities and skills
Master’s degree with at least 1 year of relevant work experience or Bachelor’s degree with at least 3 years of relevant work experience in finance, economics or another quantitative field Strong attention to detail with analytical, creative thinking and problem-solving skillsProficiency with Microsoft Office suite especially Excel, Word and PowerPointExcellent interpersonal, organization, communication skillsAbility to multi-task and prioritize work in a fast-paced environmentVersatile self-starter that can equally work independently or as part of a teamPreferred qualifications, capabilities and skills
Basic product knowledge of investment products and services such as prime brokerage, derivatives, futures , FX or collateral managementKnowledge of Tableau and Alteryx or willingness to learnBasic Python programming knowledge or willingness to learn