LOG IN
SIGN UP
Back to jobs
Job description
A specialized role supporting regional financial forecasting across the EMEA region, focusing on analyzing balance sheet funding and liquidity trends for a leading global financial institution.
Primary responsibilities include supporting the EMEA Treasury team in developing comprehensive long-term financial forecasts, analyzing complex balance sheet funding data, and creating detailed liquidity projections across multiple markets and business units.
The ideal candidate will possess strong quantitative skills, advanced financial modeling expertise, deep understanding of treasury operations, and demonstrated ability to synthesize complex financial information into actionable insights for senior management.
JPMorgan Chase offers a dynamic professional environment with competitive compensation, opportunities for career growth, extensive professional development programs, and the chance to work with cutting-edge financial technologies and global teams in a world-leading financial institution.
All Rights Reserved | 2024 | Canary Wharfian