
at J.P. Morgan
Bulge Bracket Investment BanksPosted 5 days ago
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**Job Summary: Treasury Regional Analytics - Vice President** Leverage your strong analytical skills to monitor and manage liquidity for international banking legal entities in Warsaw, Poland. As the regional Vice President, partner with cross-functional teams to drive liquidity monitoring, balance sheet analysis, and business collaboration. Key responsibilities include: navigating stress frameworks and regulatory measures, conducting analytical reviews, and supporting senior-level reviews. Essential skills: solid capital markets understanding, liquidity risk management knowledge, and proficiency in Excel, Alteryx, Tableau, and PowerPoint. Enhance reporting, controls, and automation in a dynamic environment. Preference for professional accounting qualifications. Fluent in local language preferred.
- Compensation
- Not specified
- City
- Not specified
- Country
- Poland
Currency: Not specified
Full Job Description
Location: Warszawa, Mazowieckie, Poland
Job responsibilities
- Drive monitoring of liquidity usage as measured by the Firm's internal stress framework as well as according to regulatory measures like LCR and NSFR
- Conduct analytical reviews of business-level liquidity usage and volatility. Collaborate with CIB business lines and other stakeholders on current and future balance sheet, funding, and liquidity requirements.
- Monitor not just the daily liquidity surplus position of the entity, but also provide analytic support on key upstream items impacting aggregate liquidity
- Track compositional shifts in the balance sheet and linking this to shifts in liquidity. This can include monitoring for shifts in third party and affiliate-facing Markets balances as well as lending and deposit pipeline events
- Support on-going analytic reviews of business-level attribution of line of business liquidity usage and volatility of usage.
- Produce and present at recurring senior level reviews (such as ALCOs and other weekly senior-level updates) as well as participate the signoff of monthly liquidity actuals
- Offer analytic support for ad-hoc regulator and senior management requests
Required qualifications, capabilities and skills
- Solid understanding of capital markets, liquidity risk management and funding concepts
- Knowledge of ALM, funding and liquidity and regulatory developments in the treasury space (e.g. LCR, NSFR)
- Working knowledge of Investment Bank products and balance sheet along with general accounting principles
- System fluency in excel as well as ability to leverage alteryx and tableau tools
- Excellent working knowledge of PowerPoint (including PitchPro)
- Strong analytical, investigative problem-solving and decision-making skills
- Focused work ethic, good business sense and demonstrated initiative, strong attention to detail
- Solution-oriented; proven-record of automation and process standardization
Preferred qualifications, capabilities and skills
- Professional accounting qualification preferred
Lead regional liquidity oversight for global corporate and investment banking legal entities.
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