A Treasury role within JPMorgan Chase's Commercial & Investment Bank (CIB) that supports long-term financial forecasting across the EMEA region. The role involves collaboration with stakeholders to develop financial strategies, analyze balance sheet metrics, and support regulatory reporting requirements.
Primary responsibilities include partnering with CIB business lines, supporting quarterly forecasting of balance sheet and liquidity requirements, tracking forecast versus actuals, analyzing potential business changes, and providing support for external regulatory reporting.
Required skills include working knowledge of investment banking products, balance sheet funding concepts, regulatory liquidity risk understanding, proficiency in Excel, Alteryx, and Tableau, strong analytical problem-solving abilities, and excellent communication skills. Candidates should have a detail-oriented approach and demonstrated business initiative.
JPMorgan offers a dynamic work environment within a global financial leader, providing opportunities to gain comprehensive exposure to CIB products and activities. The role provides a unique perspective on strategic financial management and allows professionals to contribute to shaping the future direction of a leading investment bank.