
at J.P. Morgan
Bulge Bracket Investment BanksPosted 2 days ago
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**Trade Support Associate - Currencies Emerging Market Operations** Lead trade support for Currencies Emerging Market Operations in Mumbai. Key responsibilities include partnering with Front Office teams, resolving trade breaks, managing controls, driving industry projects, and fostering a collaborative environment. Requires 8+ years in Middle Office roles, strong product knowledge in Rate Derivatives, excellent communication, global team collaboration, and analytical skills. Experience with Foreign Exchange Cash and Options is beneficial. Drive projects, shape industry standards, and advance your career in a diverse, innovative environment.
- Compensation
- Not specified
- City
- Mumbai
- Country
- India
Currency: Not specified
Full Job Description
Location: Mumbai, Maharashtra, India
Ready to make a real impact in global markets? Join us and lead a high-performing team where your expertise shapes the future of trade support. Youll collaborate with talented colleagues, drive process improvements, and grow your career in a supportive, inclusive environment. We value your ideas and offer opportunities for advancement and skill development. Be part of a team that celebrates diversity and innovation.
As a Trade Support Associate within Currencies Emerging Market Operations team, you will support essential trade processes. You partner closely across various local and primary Middle Office teams to manage various reconciliations and control functions across internal and external trades. You drive projects that shape industry standards and foster a culture of continuous improvement. Your leadership helps us deliver outstanding results and build a collaborative, growth-focused environment. Join us to make a difference for our business and your career.
Job responsibilities
- Partner with Front Office teams to provide trade support and control functions
- Investigate trade break queries raised by Operations, analyze trade booking /recaps, amend trades in risk management, and collaborate with front office to assess and address profit and loss impacts
- Perform control functions to align trade values across systems and applications
- Drive firm-wide and industry projects (i.e. Dodd Frank, Clearing etc.) by partnering with project leads
- Review key metrics to measure controls, workflow, and team efficiency
- Identify and implement process improvements to increase automation and capacity
- Manage daily processes and ensure timely completion of tasks
- Foster a culture of collaboration, inclusion, and continuous learning
Required qualifications, capabilities, and skills
- At least 8 years of experience in Middle Office or Operations related roles in the Financial Services industry
- Strong product knowledge and understanding of the transaction cycle for Rate Derivatives (i.e. Currency Swap and Interest Swap) products
- Excellent communication skills
- Proven ability to build relationships across global, cross-functional teams
- Strong analytical skills and attention to detail
- Ability to work effectively and independently in a fast-paced environment with tight deadlines
- Strong control mindset to identify and mitigate operational risk
- Ability to manage multiple tasks and prioritize effectively
- Problem-solving skills and ability to coordinate quick resolutions
Required qualifications, capabilities, and skills
- Understanding of Foreign Exchange Cash, and Options products will be beneficial




