A critical role in managing liquidity, funding, and structural interest rate risk for JPMorgan Chase's European Union subsidiary. You'll support the Treasury team in analyzing complex financial strategies, managing a €400bn balance sheet, and engaging with senior management and regulators.
Primary responsibilities involve analyzing and managing liquidity, funding, and interest rate risk profiles for J.P. Morgan SE, executing the Internal Liquidity Adequacy Assessment Process (ILAAP), coordinating regulatory documentation, and providing strategic financial insights across multiple business lines.
Required experience includes extensive financial services expertise with a focus on liquidity management, balance sheet analysis, and treasury operations. Candidates must demonstrate exceptional analytical skills, ability to work under high scrutiny, and communicate complex financial concepts effectively across various stakeholder levels.
The role offers an opportunity to work in a prestigious global financial institution, providing strategic input at the highest levels of corporate treasury, engaging with senior management and regulatory bodies, and contributing to the financial risk management of a major European banking subsidiary.