
at J.P. Morgan
Bulge Bracket Investment BanksPosted 2 days ago
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**Currency Operations CLS Associate at JPMorganChase in Bournemouth, UK** Manage pre- and post-trading life cycle, ensuring seamless trade processing. Key duties include funding management, reconciliation, cross-line business collaboration, process improvement, and supporting strategic projects. Proficiently use finance systems, apply process improvement methodologies, and manage exceptions. Requires 1+ years of relevant experience, cash management expertise, and strong process improvement skills. Familiarity with automation, Tableau, and global custody welcomed. Join JPMorganChase to drive operational excellence and contribute to a dynamic, global team.
- Compensation
- Not specified
- City
- Bournemouth
- Country
- United Kingdom
Currency: Not specified
Full Job Description
Location: BOURNEMOUTH, DORSET, United Kingdom
As a Currency Operations CLS Associate within JPMorganChase, you will play a pivotal role in managing the operations of the pre- and post-trading life cycle across all asset classes.
Job responsibilities
- Prepare and manage funding for managed demand deposit accounts (DDAs), ensuring proper allocation of wires to client/funding accounts within the appropriate threshold.
- Participate in the reconciliation of ledgers through detailed investigation using various systems and tools, contributing to the accuracy and integrity of financial data.
- Collaborate with other lines of business to facilitate proper funding, establishing productive working relationships to drive mutually beneficial outcomes.
- Contribute to the review and improvement of end-to-end trade lifecycle processes, applying knowledge of process improvement methodologies to optimize operations.
- Support strategic projects in partnership with Product, Tech, and Change partners, applying change management skills to ensure seamless adoption of new processes and technologies.
- Understand Risk Management and should be able to manage the issues exceptions above materiality thresholds for resolution.
- Ensure all day-to-day queries dealt with within required SLAs and escalate issues to the team leader.
- Perform root cause analysis for their respective clients to increase Straight Through Processing (STP) and reduce client inquiries.
- 1+ years of experience or equivalent expertise in managing cash movements and preparing funding for managed demand deposit accounts (DDAs).
- Demonstrated proficiency in using various systems and tools for financial data reconciliation and ledger management.
- Advanced skills in process improvement methodologies, with a track record of optimizing operations in a financial services environment.
- Experience in managing strategic projects in partnership with Product, Tech, and Change partners, with a focus on change management and stakeholder engagement.
- Proficiency in automation technologies and systems architecture, with a focus on implementing automation optimization and initiatives in a trading environment.
- Exposure to business intelligence tools (I.E. Tableau, Alteryx, UiPath, OwlDQ); comfortable working with data.
- Prior custody/treasury operation services, markets operational experience.
- Understanding of SWIFT, Cross Border Payments, Foreign Exchange, Trade life cycle, Reconciliation rules and Global Custody.
- Self-starter, ability to learn quickly, Strong leadership skills with focus to mitigate risks and taking proactive approach to ensure Best in Class results.
