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Job Details

J.P. Morgan logo
Bulge Bracket Investment Banks

Treasury Financial Planning & Analysis, Senior Associate

at J.P. Morgan

ExperiencedNo visa sponsorship

Posted 17 days ago

No clicks

As a Treasury Financial Planning & Analysis Senior Associate on the CIB Treasury P&A team, you will lead and execute financial planning and analysis activities across balance sheet, FTP/NII, SLR and related treasury metrics. You will partner with Line of Business Product Control, CIB business lines and treasury functions to monitor balance sheet usage, support P&A cycles, produce senior management communications and provide ad-hoc analysis. The role requires strong accounting and CIB product knowledge, advanced analytical skills, proficiency with Excel/Alteryx/Tableau and experience working in a high-intensity banking environment.

Compensation
Not specified

Currency: Not specified

City
Brooklyn
Country
United States

Full Job Description

Location: Brooklyn, NY, United States

Join the Commercial & Investment Bank (CIB) Treasury P&A team, a critical function responsible for deliverables across Balance Sheet, FTP (Funds Transfer Pricing)/NII (net interest income), Legal Entity Balance Sheet, SLR and GSIB.

As a Treasury Financial Planning & Analysis Senior Associate within the Line of Business Product Control team, you will play a critical role in contributing to various Planning & Analysis activities and partnering with key stakeholders across Line of Business Product Control and Line of Business/Firmwide functional groups to meet Corporate and Investment Banking Treasury's critical resource optimization objectives. This position requires a strategic thinker with strong accounting and Corporate and Investment Banking product knowledge, analytical skills, and the ability to lead and execute complex financial planning initiatives in a high-intensity environment.
 

Job responsibilities 

  • Contribute to regular P&A cycles across key financials such as Balance Sheet, SLR etc.
  • Monitor and analyse business-level Balance Sheet usage and volatility, collaborating with CIB business lines for future balance sheet needs
  • Provide ongoing updates to CIB Treasurer
  • Contribute to all CIBT P&A’s communications/presentations to senior management including C-suite or the Operating Committee
  • Partner with other CIBT functions such as CIBT P&L, LE Treasurer to monitor, analyze and influence resource usage
  • Provide ad-hoc analysis supporting key deliverables such as earnings etc.
  • Contribute to control and efficiency initiatives, improving control documentation and process efficiency

Required qualifications, capabilities and skills

  • 4+ yrs of experience in financial planning and analysis, treasury, or related roles (e.g. Controller) in the banking or financial services sector
  • Strong understanding of accounting principles, balance sheet and CIB product
  • Proven record in high complexity/intensity environment
  • Solid understanding of CIB Markets/Banking products, balance sheets, leverage ratio and general accounting principles
  • Strong analytical and investigative problem-solving skills, coupled with sound decision-making abilities
  • Meticulous attention to detail
  • Excellent written and verbal communication skills, with the ability to convey complex information clearly and concisely
  • Proactive leadership and a keen attention to detail, ensuring accuracy and precision in all deliverables.
  • Strong relationship management skills
  • Proficiency in Excel
  • Experience with Alteryx, Tableau, and AI tools

This position is not eligible for sponsorships. 

Join the Treasury P&A team helping drive strategic financial planning, analysis, and optimization in a dynamic environment.

Job Details

J.P. Morgan logo
Bulge Bracket Investment Banks

17 days ago

clicks

Treasury Financial Planning & Analysis, Senior Associate

at J.P. Morgan

ExperiencedNo visa sponsorship

Not specified

Currency not set

City: Brooklyn

Country: United States

As a Treasury Financial Planning & Analysis Senior Associate on the CIB Treasury P&A team, you will lead and execute financial planning and analysis activities across balance sheet, FTP/NII, SLR and related treasury metrics. You will partner with Line of Business Product Control, CIB business lines and treasury functions to monitor balance sheet usage, support P&A cycles, produce senior management communications and provide ad-hoc analysis. The role requires strong accounting and CIB product knowledge, advanced analytical skills, proficiency with Excel/Alteryx/Tableau and experience working in a high-intensity banking environment.

Full Job Description

Location: Brooklyn, NY, United States

Join the Commercial & Investment Bank (CIB) Treasury P&A team, a critical function responsible for deliverables across Balance Sheet, FTP (Funds Transfer Pricing)/NII (net interest income), Legal Entity Balance Sheet, SLR and GSIB.

As a Treasury Financial Planning & Analysis Senior Associate within the Line of Business Product Control team, you will play a critical role in contributing to various Planning & Analysis activities and partnering with key stakeholders across Line of Business Product Control and Line of Business/Firmwide functional groups to meet Corporate and Investment Banking Treasury's critical resource optimization objectives. This position requires a strategic thinker with strong accounting and Corporate and Investment Banking product knowledge, analytical skills, and the ability to lead and execute complex financial planning initiatives in a high-intensity environment.
 

Job responsibilities 

  • Contribute to regular P&A cycles across key financials such as Balance Sheet, SLR etc.
  • Monitor and analyse business-level Balance Sheet usage and volatility, collaborating with CIB business lines for future balance sheet needs
  • Provide ongoing updates to CIB Treasurer
  • Contribute to all CIBT P&A’s communications/presentations to senior management including C-suite or the Operating Committee
  • Partner with other CIBT functions such as CIBT P&L, LE Treasurer to monitor, analyze and influence resource usage
  • Provide ad-hoc analysis supporting key deliverables such as earnings etc.
  • Contribute to control and efficiency initiatives, improving control documentation and process efficiency

Required qualifications, capabilities and skills

  • 4+ yrs of experience in financial planning and analysis, treasury, or related roles (e.g. Controller) in the banking or financial services sector
  • Strong understanding of accounting principles, balance sheet and CIB product
  • Proven record in high complexity/intensity environment
  • Solid understanding of CIB Markets/Banking products, balance sheets, leverage ratio and general accounting principles
  • Strong analytical and investigative problem-solving skills, coupled with sound decision-making abilities
  • Meticulous attention to detail
  • Excellent written and verbal communication skills, with the ability to convey complex information clearly and concisely
  • Proactive leadership and a keen attention to detail, ensuring accuracy and precision in all deliverables.
  • Strong relationship management skills
  • Proficiency in Excel
  • Experience with Alteryx, Tableau, and AI tools

This position is not eligible for sponsorships. 

Join the Treasury P&A team helping drive strategic financial planning, analysis, and optimization in a dynamic environment.