An opportunity for professionals with strong financial markets background, particularly in derivatives and emerging markets, to join JPMorgan Chase's Currencies and Emerging Markets Middle Office team. The role involves handling complex financial transactions, reconciliation processes, and supporting trading infrastructures.
Primary responsibilities include accurately capturing trading transactions in risk management systems, completing intraday and end-of-day processes, performing reconciliation checks, ensuring precise book management, and collaborating closely with operations and infrastructure groups.
Candidates must possess comprehensive knowledge of derivatives products including Interest Rate Swaps, Cross Currency Swaps, FX Options, and understand front-to-back operations processes. Strong analytical skills, attention to detail, clear communication abilities, and proficiency in working in dynamic, high-pressure environments are essential.
JPMorgan Chase offers a challenging professional environment in a global financial services leader, providing opportunities for strategic growth, working with prominent corporations and institutions worldwide, and developing expertise in emerging markets trading operations.