Senior Analyst role in the Commercial & Investment Bank Treasury team focusing on managing liquidity, balance sheet, and capital positions. Responsibilities include producing financial reports, analyzing risk metrics, and supporting strategic initiatives with a keen interest in capital markets and economics.
Primary responsibilities include producing daily, weekly, and monthly liquidity risk reports, analyzing key financial drivers, coordinating globally to develop business commentary, and interacting with senior leadership to understand balance sheet and liquidity implications.
Required qualifications include a bachelor's degree, 1+ years of finance experience, strong analytical skills, understanding of financial markets, excellent interpersonal communication, ability to work under pressure, and proficiency in Excel, PowerPoint, and Word.
JPMorgan offers a dynamic work environment in a global financial services leader, providing opportunities to work on complex projects, develop deep financial expertise, and contribute to strategic business objectives in a renowned international organization.