
at J.P. Morgan
Bulge Bracket Investment BanksPosted 17 days ago
No clicks
**Trading Services Analyst** in Mumbai: Manage pre- and post-trade life cycle operations at JPMorganChase. Perform cash movement management, coordinate funding, and enhance operational efficiency. Utilize analytical skills, problem-solve, and drive process improvements. Collaborate with internal teams and stakeholders. 3+ years experience in financial markets and trade lifecycle. Skillful in process improvement, automation, and stakeholder management. Excel, VBA, and project management familiarity beneficial. Cash management expertise a plus.
- Compensation
- Not specified
- City
- Mumbai
- Country
- India
Currency: Not specified
Full Job Description
Location: Mumbai, Maharashtra, India
As a Trade Lifecycle Analyst within JPMorganChase, you will will support the operations of the pre- and post-trading life cycle across all asset classes. Your expertise in trade lifecycle processes will help ensure all trades are processed accurately and efficiently on respective platforms. You will be expected to apply your analytical skills and understanding of the professional field to solve problems, make decisions that impact the department, and ensure compliance with technical standards and policies. Your role will involve coordinating with various departments, managing cash movements in and out of client accounts, and preparing funding for managed demand deposit accounts. You will also be responsible for identifying process inefficiencies and supporting improvements, leveraging automation technologies, and assisting with project management. Your ability to influence and manage internal stakeholders, coupled with your strong presentation skills and market product knowledge, will be key to your success in this role.
Job Responsibilities:
- Support the preparation and management of funding, ensuring proper allocation of wires to client/funding accounts within the appropriate threshold.
- Conduct reconciliation of ledgers using various systems and tools, identifying and addressing any discrepancies promptly.
- Assist in the timely and accurate settlement of all derivative products.
- Perform daily reconciliation of settlement activity, investigating and resolving discrepancies to ensure accurate books and records.
- Collaborate with internal teams such as Trading, Middle Office, Confirmations, and Collateral Management to resolve settlement breaks and exceptions.
- Ensure all operational controls are diligently performed, documented, and signed off in a timely manner.
- Communicate clearly and effectively with both internal and external stakeholders to resolve settlement queries and issues.
- Participate in and contribute to strategic initiatives aimed at process improvement, automation, and risk reduction within the settlements function.
Required Qualifications, Skills and Capabilities:
- Baseline knowledge or equivalent expertise in financial markets and understanding of the transaction lifecycle.
- Demonstrated ability to manage cash movements and coordinate with various business lines for proper funding.
- Experience with process improvement methodologies and automation technologies, with a focus on enhancing operational efficiency.
- Ability to establish productive relationships with internal stakeholders, demonstrating beginning proficiency in stakeholder management.
- Familiarity with project management principles, with experience in assisting with project planning and execution.
Preferred Qualifications, Skills and Capabilities:
- Strong analytical and problem-solving skills, with a background in Economics or Industrial Engineering enhancing understanding of complex financial operations.
- Experience in finance industry operations, demonstrating capability in managing and optimizing financial processes.
- Proficiency in VBA, adding value through automation and efficiency improvements in financial operations.




