LOG IN
SIGN UP
Canary Wharfian - Online Investment Banking & Finance Community.
Sign In
or continue with e-mail and password
Forgot password?
Don't have an account?
Create an account
or continue with e-mail and password
By signing up, you agree to our Terms & Conditions and Privacy Policy.

Cash and Controls Associate I

ExperiencedNo visa sponsorship
J.P. Morgan logo

at J.P. Morgan

Bulge Bracket Investment Banks

Posted 11 days ago

No clicks

**Cash and Controls Associate I** Contribute to our Prime Brokerage team, enabling hedgefund activities via Global Custody, Securities Lending, and Financing services. Process client payments, monitor controls, resolve breaks, and collaborate globally. Optimize systems using automation, ensure compliance with industry regulations, and obtain FINRA Series 99 within 12 months. Analyze data, create reports, and deliver presentations to stakeholders. Experience in financial services, payments, and prime brokerage preferred. Manage time effectively under pressure. Strong problem-solving skills required.

Compensation
Not specified

Currency: Not specified

City
Not specified
Country
United States

Full Job Description

Location: Newark, DE, United States

Are you ready to elevate your career in a fast-paced, innovative environment? The Prime Brokerage department provides packaged services to hedge funds and professional investors, enabling them to finance their investment activities through a bespoke range of products tailored to their needs. Our services include Global Custody, Securities Lending, Financing, and Margin Solutions.


As an Associate in our Prime Brokerage team, you will have the opportunity to develop your skills while contributing to a collaborative group that values growth and learning, you will join us and be part of a company that supports your professional journey and offers exciting challenges. This is an excellent opportunity for a motivated professional seeking to make a difference in a supportive and dynamic environment. Youll work alongside individuals with diverse skills and backgrounds, united to achieve common goals through excellence and creativity. The successful applicant will be required to successfully obtain their FINRA Series 99 certification within 12 months of their start date.

Job responsibilities

  • Process payments and review incoming cash wires for institutional and retail clients
  • Apply and monitor payment controls, ensuring adherence to standards
  • Investigate and resolve cash and control breaks
  • Liaise with global partners and stakeholders to resolve reconciliation issues
  • Perform and help design key controls across the trade lifecycle process
  • Analyze and identify opportunities to increase STP (Straight Through Processing)
  • Support the development and revision of company and department policies and procedures
  • Ensure timely completion of work items
  • Prepare and analyze metrics

Required qualifications, capabilities, and skills

  • Experience using automation technologies to optimize systems and processes
  • Knowledge of market products, operating procedures, and relevant industry regulations
  • Proactive approach to problem solving and ownership of issues
  • Strong time management and ability to deliver under pressure
  • FINRA licensing: SIE + Series 99 (or willingness to obtain)
  • Data analysis skills and ability to communicate insights effectively
  • Ability to create and deliver presentations to management and stakeholders

Preferred qualifications, capabilities, and skills

  • Experience in financial services, especially Corporate Banking
  • Payments understanding and background
  • Experience within Prime Brokerage, Securities Settlements, or Asset Servicing
  • Reconciliation experience
  • Analytical skills
Join our team as a Cash and Controls Associate and contribute to driving impactful solutions in a dynamic environment.

Cash and Controls Associate I

Compensation

Not specified

City: Not specified

Country: United States

J.P. Morgan logo
Bulge Bracket Investment Banks

11 days ago

No clicks

at J.P. Morgan

ExperiencedNo visa sponsorship

**Cash and Controls Associate I** Contribute to our Prime Brokerage team, enabling hedgefund activities via Global Custody, Securities Lending, and Financing services. Process client payments, monitor controls, resolve breaks, and collaborate globally. Optimize systems using automation, ensure compliance with industry regulations, and obtain FINRA Series 99 within 12 months. Analyze data, create reports, and deliver presentations to stakeholders. Experience in financial services, payments, and prime brokerage preferred. Manage time effectively under pressure. Strong problem-solving skills required.

Full Job Description

Location: Newark, DE, United States

Are you ready to elevate your career in a fast-paced, innovative environment? The Prime Brokerage department provides packaged services to hedge funds and professional investors, enabling them to finance their investment activities through a bespoke range of products tailored to their needs. Our services include Global Custody, Securities Lending, Financing, and Margin Solutions.


As an Associate in our Prime Brokerage team, you will have the opportunity to develop your skills while contributing to a collaborative group that values growth and learning, you will join us and be part of a company that supports your professional journey and offers exciting challenges. This is an excellent opportunity for a motivated professional seeking to make a difference in a supportive and dynamic environment. Youll work alongside individuals with diverse skills and backgrounds, united to achieve common goals through excellence and creativity. The successful applicant will be required to successfully obtain their FINRA Series 99 certification within 12 months of their start date.

Job responsibilities

  • Process payments and review incoming cash wires for institutional and retail clients
  • Apply and monitor payment controls, ensuring adherence to standards
  • Investigate and resolve cash and control breaks
  • Liaise with global partners and stakeholders to resolve reconciliation issues
  • Perform and help design key controls across the trade lifecycle process
  • Analyze and identify opportunities to increase STP (Straight Through Processing)
  • Support the development and revision of company and department policies and procedures
  • Ensure timely completion of work items
  • Prepare and analyze metrics

Required qualifications, capabilities, and skills

  • Experience using automation technologies to optimize systems and processes
  • Knowledge of market products, operating procedures, and relevant industry regulations
  • Proactive approach to problem solving and ownership of issues
  • Strong time management and ability to deliver under pressure
  • FINRA licensing: SIE + Series 99 (or willingness to obtain)
  • Data analysis skills and ability to communicate insights effectively
  • Ability to create and deliver presentations to management and stakeholders

Preferred qualifications, capabilities, and skills

  • Experience in financial services, especially Corporate Banking
  • Payments understanding and background
  • Experience within Prime Brokerage, Securities Settlements, or Asset Servicing
  • Reconciliation experience
  • Analytical skills
Join our team as a Cash and Controls Associate and contribute to driving impactful solutions in a dynamic environment.