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.

Finance & Business Management

ExperiencedNo visa sponsorship
J.P. Morgan logo

at J.P. Morgan

Bulge Bracket Investment Banks

Posted 8 days ago

No clicks

**Securities Services Liquidity & FX Business Manager - Associate** Drive business performance and mitigate risks in NY. Develop and align strategic initiatives across Finance, Tech, Ops, Legal, Compliance. Manage dynamic liquidity forecasts, identify/reduce business impairments, and optimize NII, fees, expenses, capital. Partner with product teams to address deposit and liquidity challenges. Analyze financial performance, represent business in working groups. Minimal education: Bachelor's in Finance/Business. Proven analytical skills, strategic mindset, and excellent communication.

Compensation
Not specified

Currency: Not specified

City
New York City
Country
United States

Full Job Description

Location: NY, United States

Join the Securities Services  Business Management team, which optimizes business performance by helping to drive key initiatives. We act as trusted advisors and a counterweight to Business/Group Heads, and are responsible for identifying, escalating, and mitigating business risks. This role has an emphasis on managing the deposit forecasts, technical financial proficiency, and implementing advanced analytical solutions. This position is instrumental in assisting and advising senior management and in coordinating the deployment of the banks corporate resources to address strategic and tactical objectives of the Liquidity and FX business.

Required qualifications, skills, and capabilities:

  • Implement new business strategy, strategic initiatives or platforms, including aligning department and support groups (Finance, Tech, Ops, Legal, Compliance)
  • Optimize 'bottom line' business performance by driving key initiatives (liquidity, NII, fees, expenses, and capital)
  • Manage financial forecasts across dynamic liquidity and interest rate environments
  • Identify, escalate and mitigate business risks that could impair our ability to do business: e.g. legal, tax, regulatory
  • Understand deposit and liquidity drivers and partner with product and sales teams for solutions
  • Analyze financial performance, including expenses; identify initiatives and drive implementation
  • Partner with the business, Operations and Technology in the definition of future workflows and implementation of related technology projects to prepare the business to meet the requirements of an ever evolving market structure
  • Represent the business in respective internal/external working groups

 

Preferred qualifications:

  • Bachelors degree in Business, Finance, Economics, or other related area
  • Strong analytical and problem solving skills with ability to analyze large data sets and present conclusions concisely
  • Highly motivated self-starter with excellent time management/prioritization skills and able to work with high degree of independence
  • Ability to present well to senior and global business heads with excellent written and oral communication skills
  • Able to both define and deliver to conclusion a strategic agenda across multiple groups
  • Excellent project management and organizational skills with attention to detail with logical thought process
Securities Services Liquidity & FX Business Manager - Associate

Finance & Business Management

Compensation

Not specified

City: New York City

Country: United States

J.P. Morgan logo
Bulge Bracket Investment Banks

8 days ago

No clicks

at J.P. Morgan

ExperiencedNo visa sponsorship

**Securities Services Liquidity & FX Business Manager - Associate** Drive business performance and mitigate risks in NY. Develop and align strategic initiatives across Finance, Tech, Ops, Legal, Compliance. Manage dynamic liquidity forecasts, identify/reduce business impairments, and optimize NII, fees, expenses, capital. Partner with product teams to address deposit and liquidity challenges. Analyze financial performance, represent business in working groups. Minimal education: Bachelor's in Finance/Business. Proven analytical skills, strategic mindset, and excellent communication.

Full Job Description

Location: NY, United States

Join the Securities Services  Business Management team, which optimizes business performance by helping to drive key initiatives. We act as trusted advisors and a counterweight to Business/Group Heads, and are responsible for identifying, escalating, and mitigating business risks. This role has an emphasis on managing the deposit forecasts, technical financial proficiency, and implementing advanced analytical solutions. This position is instrumental in assisting and advising senior management and in coordinating the deployment of the banks corporate resources to address strategic and tactical objectives of the Liquidity and FX business.

Required qualifications, skills, and capabilities:

  • Implement new business strategy, strategic initiatives or platforms, including aligning department and support groups (Finance, Tech, Ops, Legal, Compliance)
  • Optimize 'bottom line' business performance by driving key initiatives (liquidity, NII, fees, expenses, and capital)
  • Manage financial forecasts across dynamic liquidity and interest rate environments
  • Identify, escalate and mitigate business risks that could impair our ability to do business: e.g. legal, tax, regulatory
  • Understand deposit and liquidity drivers and partner with product and sales teams for solutions
  • Analyze financial performance, including expenses; identify initiatives and drive implementation
  • Partner with the business, Operations and Technology in the definition of future workflows and implementation of related technology projects to prepare the business to meet the requirements of an ever evolving market structure
  • Represent the business in respective internal/external working groups

 

Preferred qualifications:

  • Bachelors degree in Business, Finance, Economics, or other related area
  • Strong analytical and problem solving skills with ability to analyze large data sets and present conclusions concisely
  • Highly motivated self-starter with excellent time management/prioritization skills and able to work with high degree of independence
  • Ability to present well to senior and global business heads with excellent written and oral communication skills
  • Able to both define and deliver to conclusion a strategic agenda across multiple groups
  • Excellent project management and organizational skills with attention to detail with logical thought process
Securities Services Liquidity & FX Business Manager - Associate