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Commercial and Investment Bank - Treasury Markets - Associate

ExperiencedNo visa sponsorship
J.P. Morgan logo

at J.P. Morgan

Bulge Bracket Investment Banks

Posted 2 months ago

No clicks

Support the APAC Corporate & Investment Bank Treasury Markets team by analysing and optimising balance sheet, liquidity, capital and funding impacts of Markets activities. Build analytical tools and dashboards, conduct due diligence on new business and products, and liaise with Corporate Treasury to optimise funding. Prepare analyses and presentations for senior management and enhance regional Treasury MIS while collaborating across functions and jurisdictions.

Compensation
Not specified

Currency: Not specified

City
Singapore
Country
Singapore

Full Job Description

Location: Singapore, Singapore

Drive global impact and optimize APAC Markets strategy by leveraging advanced analytics, cross-functional collaboration, and cutting-edge Treasury solutions in a dynamic, high-exposure environment

As the Corporate & Investment Bank Treasury Markets – Associate in the APAC team, you support coverage of Markets lines of business in APAC and assist on Liquidity methodology projects for Markets products.

The function is responsible for evaluating all aspects of the Corporate & Investment Bank balance sheets across all APAC Legal Entities, in order to help optimize the APAC business strategy in the context of balance sheet, liquidity, capital, leverage and other regulatory constraints from both global and APAC Legal Entity perspectives. The team partners closely with APAC Corporate Treasury to develop efficient policies and procedures for deployment of balance sheet and monitors compliance with the Firm’s targets. The candidate must be a self-starter who is able to work in a dynamic environment and have excellent communication skills, as this role involves close collaboration with teams across different functions and jurisdictions.

Job responsibilities

  • Provide analytical support to Corporate & Investment Bank Treasury APAC Markets lead
  • Monitor and manage funding and liquidity impacts from specific Markets activities, and liaise with Corporate Treasury to optimize funding
  • Support initiatives to address legal entity capital, liquidity and funding issues, and allocate corresponding costs to operating businesses
  • Develop analytical tools and dashboards to monitor funding costs, liquidity metrics, balance sheet utilization, stress scenarios, and internal pricing signals
  • Build up to date knowledge of global and local regulations related to balance sheet and Treasury management
  • Conduct due diligence and review of new business initiatives and products
  • Assist with presentations intended for the businesses and senior management
  • Enhance Corporate & Investment Bank Treasury Management Information System in the region

Required qualifications, capabilities, and skills

  • Minimum of a Bachelor’s degree in Accounting, Finance or Business
  • Minimum of 2 years of experience in Treasury with exposure to US liquidity risk requirements 
  • Ability to analyze the liquidity and balance sheet impacts of Markets products, especially Fixed Income, Currency and Securities Financing business
  • Ability to review new business initiatives from Treasury’s perspective
  • Proficient knowledge and understanding of key Treasury concepts including funds transfer pricing, liquidity premium, and asset and liability management 
  • Good analytical skills, able to perform complex and quantitative analyses. Good working knowledge of Microsoft Excel, PowerPoint and Tableau with strong attention to detail
  • Prior experience in preparing Balance Sheet and liquidity forecasts
  • Globally recognized financial risk and analysis certifications like FRM and CFA
  • Experience with LLM-based tools and prompt engineering. Good working knowledge of Python and SQL

Preferred qualifications, capabilities, and skills:

  • Hands on experience with US banking regulations related to liquidity management
  • Globally recognized financial risk and analysis certifications like FRM and CFA
  • Prior experience in preparing Balance Sheet and liquidity forecasts
  • Experience with LLM-based tools and prompt engineering
  • Good working knowledge of Python and SQL
Excellent opportunity within the commercial and investment banking Treasury team

Commercial and Investment Bank - Treasury Markets - Associate

Compensation

Not specified

City: Singapore

Country: Singapore

J.P. Morgan logo
Bulge Bracket Investment Banks

2 months ago

No clicks

at J.P. Morgan

ExperiencedNo visa sponsorship

Support the APAC Corporate & Investment Bank Treasury Markets team by analysing and optimising balance sheet, liquidity, capital and funding impacts of Markets activities. Build analytical tools and dashboards, conduct due diligence on new business and products, and liaise with Corporate Treasury to optimise funding. Prepare analyses and presentations for senior management and enhance regional Treasury MIS while collaborating across functions and jurisdictions.

Full Job Description

Location: Singapore, Singapore

Drive global impact and optimize APAC Markets strategy by leveraging advanced analytics, cross-functional collaboration, and cutting-edge Treasury solutions in a dynamic, high-exposure environment

As the Corporate & Investment Bank Treasury Markets – Associate in the APAC team, you support coverage of Markets lines of business in APAC and assist on Liquidity methodology projects for Markets products.

The function is responsible for evaluating all aspects of the Corporate & Investment Bank balance sheets across all APAC Legal Entities, in order to help optimize the APAC business strategy in the context of balance sheet, liquidity, capital, leverage and other regulatory constraints from both global and APAC Legal Entity perspectives. The team partners closely with APAC Corporate Treasury to develop efficient policies and procedures for deployment of balance sheet and monitors compliance with the Firm’s targets. The candidate must be a self-starter who is able to work in a dynamic environment and have excellent communication skills, as this role involves close collaboration with teams across different functions and jurisdictions.

Job responsibilities

  • Provide analytical support to Corporate & Investment Bank Treasury APAC Markets lead
  • Monitor and manage funding and liquidity impacts from specific Markets activities, and liaise with Corporate Treasury to optimize funding
  • Support initiatives to address legal entity capital, liquidity and funding issues, and allocate corresponding costs to operating businesses
  • Develop analytical tools and dashboards to monitor funding costs, liquidity metrics, balance sheet utilization, stress scenarios, and internal pricing signals
  • Build up to date knowledge of global and local regulations related to balance sheet and Treasury management
  • Conduct due diligence and review of new business initiatives and products
  • Assist with presentations intended for the businesses and senior management
  • Enhance Corporate & Investment Bank Treasury Management Information System in the region

Required qualifications, capabilities, and skills

  • Minimum of a Bachelor’s degree in Accounting, Finance or Business
  • Minimum of 2 years of experience in Treasury with exposure to US liquidity risk requirements 
  • Ability to analyze the liquidity and balance sheet impacts of Markets products, especially Fixed Income, Currency and Securities Financing business
  • Ability to review new business initiatives from Treasury’s perspective
  • Proficient knowledge and understanding of key Treasury concepts including funds transfer pricing, liquidity premium, and asset and liability management 
  • Good analytical skills, able to perform complex and quantitative analyses. Good working knowledge of Microsoft Excel, PowerPoint and Tableau with strong attention to detail
  • Prior experience in preparing Balance Sheet and liquidity forecasts
  • Globally recognized financial risk and analysis certifications like FRM and CFA
  • Experience with LLM-based tools and prompt engineering. Good working knowledge of Python and SQL

Preferred qualifications, capabilities, and skills:

  • Hands on experience with US banking regulations related to liquidity management
  • Globally recognized financial risk and analysis certifications like FRM and CFA
  • Prior experience in preparing Balance Sheet and liquidity forecasts
  • Experience with LLM-based tools and prompt engineering
  • Good working knowledge of Python and SQL
Excellent opportunity within the commercial and investment banking Treasury team