
at J.P. Morgan
Bulge Bracket Investment BanksPosted 11 days ago
No clicks
**Trade Lifecycle Specialist IV** at JPMorganChase in Bengaluru. Manage moderate to complex cash movements, fund demand deposit accounts, and drive operational efficiency. Leverage advanced policy knowledge to solve non-routine problems. Collaborate on account reconciliation, respond to queries, and ensure timely service delivery. Take end-to-end ownership, troubleshoot issues, and engage with internal partners. Minimum 1 year in reconciliation operations. Proficient in Excel, SWIFT/MX messages, and strong communication skills. Preferred: experience in Nostro reconciliation, exposure to FX, Equities, and Fixed Income, and data analysis skills.
- Compensation
- Not specified
- City
- Bengaluru
- Country
- India
Currency: Not specified
Full Job Description
Location: Bengaluru, Karnataka, India
As a Trade Lifecycle Specialist IV within JPMorganChase, you will play a pivotal role in managing moderate to complex tasks related to cash movements in and out of client accounts and preparing funding for managed demand deposit accounts. Your work will have a significant impact within your team, ensuring all trades are processed on respective platforms across all asset classes. You will leverage your expertise in a variety of work processes, applying advanced knowledge of policies and procedures to solve non-routine problems. Your role will involve working on escalated assignments, requiring you to apply problem-solving techniques and improve existing processes. Your ability to actively listen, manage internal stakeholders, create presentations, and initiate process improvements will be key to your success in this role.
Job responsibilities
- Collaborate with the team to manage client service delivery, focusing on account reconciliation.
- Respond promptly to queries from internal and external business partners.
- Ensure timely and accurate delivery of services.
- Learn and adapt to different scenarios as required.
- Participate in and support Team Lead during review activities.
- Step in as a cover for Team Leaders when needed.
- Support Team Leads and Managers in audits, controls, and process reviews.
- Take end-to-end ownership of operational support, including issue management and escalation.
- Engage with internal partners to troubleshoot issues and define remediation.
- Leverage knowledge to identify and implement process improvements.
- Work with Technical Specialists to achieve operational and client service enhancements.
Required Qualifications, Skills and Capabilities:
- Demonstrate a basic understanding of accounting and reconciliation.
- Minimum 1 year of experience in reconciliation payments and related operations.
- Understand SWIFT/MX messages and their formats.
- Exhibit strong proficiency in Windows Office systems, especially Excel.
- Communicate effectively with strong verbal and written skills.
- Apply knowledge of financial instruments and their accounting treatment.
- Experience in Nostro reconciliation
Preferred Qualifications, Skills and Capabilities:
- Exhibit experience in Nostro reconciliation with an understanding of payment or securities services.
- Demonstrate familiarity with FX, Equities, and Fixed Income.
- Show ability to analyze large data sets efficiently.
- Display strong problem-solving and analytical skills..




