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Payments Liquidity Business Manager - Senior Associate

ExperiencedNo visa sponsorship
J.P. Morgan logo

at J.P. Morgan

Bulge Bracket Investment Banks

Posted 4 days ago

No clicks

**Senior Associate - Payments Liquidity Business Manager** leads forecasting and analytics for Liquidity & Account Solutions. Manage balance sheet, revenue, and NII forecasts, analyze variances, and generate executive reporting. Collaborate with Finance, Product, and Treasury to drive improvements and demonstrate team lead potential. Requires finance degree, advanced Excel, business intelligence tools, and strong communication skills. Experience with deposits or liquidity products a plus. Minimum five years of relevant experience needed.

Compensation
Not specified

Currency: Not specified

City
New York City
Country
United States

Full Job Description

Location: New York, NY, United States

Join our Deposits & Liquidity Performance Analytics team, where youll help shape the financial future of our Liquidity & Account Solutions business. Youll collaborate with talented colleagues, influence key decisions, and make a measurable impact through your analytical expertise and proactive approach.

As a Senior Associate in Deposits & Liquidity Performance Analytics, you support the Liquidity & Account Solutions business within Treasury Services. You will deliver critical financial insights through forecasting, variance analysis, and executive reporting. Youll partner with stakeholders across Finance, Product, and Treasury, translating complex data into clear recommendations. Your work will drive improvements in forecasting, reporting, and controls, with opportunities to demonstrate leadership and grow your career.

Job Responsibilities

  • Lead balance sheet and revenue forecasting and analytics for Liquidity & Account Solutions, ensuring timely and accurate outputs.
  • Support the end-to-end revenue and net interest income (NII) forecast, including model development, assumptions, and scenario analysis.
  • Run scenario and sensitivity analyses on rates, yield curves, policy changes, balance movements, and client repricing; synthesize results and recommend actions.
  • Prepare monthly P&L variance analysis, including variance bridges versus plan, forecast, and prior year; develop driver commentary and investigate key variances.
  • Reconcile actuals to source systems and allocation methodologies, maintaining traceability and documentation; identify and address data or methodology gaps.
  • Produce recurring executive-ready reporting, ensuring metric consistency, accuracy, and narrative enhancement as business conditions evolve.
  • Coordinate inputs and messaging across Finance, Product, and Treasury partners; manage timelines, dependencies, and follow-ups with minimal oversight.
  • Identify and lead initiatives to improve data quality and automation across forecasting, performance measurement, and reporting.
  • Uphold strong control standards across reconciliations, allocations, and model governance; ensure documentation is complete and audit-ready.
  • Serve as a go-to partner for day-to-day questions, communicating complex concepts clearly and escalating risks with proposed solutions.
  • Demonstrate team-lead potential by mentoring junior team members, driving best practices, and leading small projects or workstreams as needed.
     

Required Qualifications, Capabilities, and Skills

  • Bachelors degree with experience in finance, treasury, or wholesale transaction banking products.
  • Strong analytical skills and advanced Excel proficiency, including experience with driver-based models and large datasets.
  • Experience with business intelligence or analytics tools (e.g., Tableau, Alteryx) and ability to learn new tools quickly.
  • Proven ability to manage multiple priorities under tight deadlines and work independently through ambiguity.
  • Strong communication skills, with the ability to translate analysis into concise, executive-ready materials.
  • Demonstrated leadership behaviors, such as leading workstreams, owning initiatives, process improvement, or mentoring.
     

Preferred Qualifications, Capabilities, and Skills

  • Experience with deposits or liquidity products.
  • Track record of driving automation or process enhancements in financial analysis or reporting.
  • Familiarity with model governance and audit requirements.
  • Experience collaborating with cross-functional teams in a matrixed environment.

 

**To be eligible for this role, you must be authorized to work in the United States. We do not offer any type of employment-based immigration sponsorship for this role. Likewise, JPMorgan Chase & Co. will not provide any assistance or sign any documentation in support of any other form of immigration sponsorship or benefit, including optional practical training (OPT) or curricular practical training (CPT).**

Drive financial forecasting, analysis, and executive reporting for Liquidity & Account Solutions, delivering actionable insights.

Payments Liquidity Business Manager - Senior Associate

Compensation

Not specified

City: New York City

Country: United States

J.P. Morgan logo
Bulge Bracket Investment Banks

4 days ago

No clicks

at J.P. Morgan

ExperiencedNo visa sponsorship

**Senior Associate - Payments Liquidity Business Manager** leads forecasting and analytics for Liquidity & Account Solutions. Manage balance sheet, revenue, and NII forecasts, analyze variances, and generate executive reporting. Collaborate with Finance, Product, and Treasury to drive improvements and demonstrate team lead potential. Requires finance degree, advanced Excel, business intelligence tools, and strong communication skills. Experience with deposits or liquidity products a plus. Minimum five years of relevant experience needed.

Full Job Description

Location: New York, NY, United States

Join our Deposits & Liquidity Performance Analytics team, where youll help shape the financial future of our Liquidity & Account Solutions business. Youll collaborate with talented colleagues, influence key decisions, and make a measurable impact through your analytical expertise and proactive approach.

As a Senior Associate in Deposits & Liquidity Performance Analytics, you support the Liquidity & Account Solutions business within Treasury Services. You will deliver critical financial insights through forecasting, variance analysis, and executive reporting. Youll partner with stakeholders across Finance, Product, and Treasury, translating complex data into clear recommendations. Your work will drive improvements in forecasting, reporting, and controls, with opportunities to demonstrate leadership and grow your career.

Job Responsibilities

  • Lead balance sheet and revenue forecasting and analytics for Liquidity & Account Solutions, ensuring timely and accurate outputs.
  • Support the end-to-end revenue and net interest income (NII) forecast, including model development, assumptions, and scenario analysis.
  • Run scenario and sensitivity analyses on rates, yield curves, policy changes, balance movements, and client repricing; synthesize results and recommend actions.
  • Prepare monthly P&L variance analysis, including variance bridges versus plan, forecast, and prior year; develop driver commentary and investigate key variances.
  • Reconcile actuals to source systems and allocation methodologies, maintaining traceability and documentation; identify and address data or methodology gaps.
  • Produce recurring executive-ready reporting, ensuring metric consistency, accuracy, and narrative enhancement as business conditions evolve.
  • Coordinate inputs and messaging across Finance, Product, and Treasury partners; manage timelines, dependencies, and follow-ups with minimal oversight.
  • Identify and lead initiatives to improve data quality and automation across forecasting, performance measurement, and reporting.
  • Uphold strong control standards across reconciliations, allocations, and model governance; ensure documentation is complete and audit-ready.
  • Serve as a go-to partner for day-to-day questions, communicating complex concepts clearly and escalating risks with proposed solutions.
  • Demonstrate team-lead potential by mentoring junior team members, driving best practices, and leading small projects or workstreams as needed.
     

Required Qualifications, Capabilities, and Skills

  • Bachelors degree with experience in finance, treasury, or wholesale transaction banking products.
  • Strong analytical skills and advanced Excel proficiency, including experience with driver-based models and large datasets.
  • Experience with business intelligence or analytics tools (e.g., Tableau, Alteryx) and ability to learn new tools quickly.
  • Proven ability to manage multiple priorities under tight deadlines and work independently through ambiguity.
  • Strong communication skills, with the ability to translate analysis into concise, executive-ready materials.
  • Demonstrated leadership behaviors, such as leading workstreams, owning initiatives, process improvement, or mentoring.
     

Preferred Qualifications, Capabilities, and Skills

  • Experience with deposits or liquidity products.
  • Track record of driving automation or process enhancements in financial analysis or reporting.
  • Familiarity with model governance and audit requirements.
  • Experience collaborating with cross-functional teams in a matrixed environment.

 

**To be eligible for this role, you must be authorized to work in the United States. We do not offer any type of employment-based immigration sponsorship for this role. Likewise, JPMorgan Chase & Co. will not provide any assistance or sign any documentation in support of any other form of immigration sponsorship or benefit, including optional practical training (OPT) or curricular practical training (CPT).**

Drive financial forecasting, analysis, and executive reporting for Liquidity & Account Solutions, delivering actionable insights.