
at J.P. Morgan
Bulge Bracket Investment BanksPosted 7 days ago
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**Trading Services Specialist** in Bengaluru drives trading operations' success at JPMorganChase. Responsible for trade order execution, process improvement, and problem-solving. Leverage experience in trade settlement, SBL products, and low-code tools like Alteryx, Xceptor, Tableau. Collaborate with stakeholders to drive change initiatives. Bachelor's in Finance/Operations, 2+ years in reconciliation role, strong PC and communication skills required. Work under pressure in deadline-driven environments.
- Compensation
- Not specified
- City
- Bengaluru
- Country
- India
Currency: Not specified
Full Job Description
Location: Bengaluru, Karnataka, India
As a Trading Services Specialist within JPMorganChase, you will play a pivotal role in the execution and processing of trade orders, assisting the smooth operation of our trading and portfolio management businesses. Your work will have a significant impact within your team, contributing to the overall performance of our trading services. You will initiate your knowledge of market products and trading processes and learn how to apply this expertise to solve non-routine challenges and improve existing procedures. Your role will be also monitored and coached by junior and senior team members, sharing their knowledge and experience to enhance team performance. With a focus on continuous improvement, you will use and skill up your understanding of automation technologies and data analysis techniques to optimize our trading operations, while effectively collaborating with internal stakeholder relationships and assist driving change initiatives to drive our strategic plans.
Job responsibilities
- The Stock Borrow Loan Department in India consists of 30+ staff and comprise of Pre-matching, Contract Compare, Billing and Resolutions processes. The primary responsibility of this position is to support the day-to-day operations for Pre-matching, Contract compare, Billing, Stock and Cash Reconciliation processes and should have good trade settlements knowledge.
- Accuracy in processing in line with Standard Operating Procedures with no errors with Identification & escalation of all errors/exceptions
- Respond to routine queries/complaints.
- Be audit focused in all BAU activities.
- Identify opportunities for process efficiency & implement in a controlled manner
- Communicate with supervisor on problematic transactions or exceptions.
- You must have a Bachelors degree or above in Finance/Operations
- Must have minimum 2 years of experience in in reconciliation team to have good understanding of SBL product lifecycle, with familiarity in low code tools such as Alteryx, Xceptor, Tableau, etc.
- Good PC skills including Microsoft office products (Excel, Word, Power point, Access)
- Good oral and written communications skills.
- Must be able to work under pressure & deadline driven environment.
- Able to grasp/learn concepts and procedures quickly.
- Problem solving skills.
- Analytical with ability to quickly assess situations and resolve complex issues




