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Corporate Treasury CIO - Vice President (all genders)

J.P. Morgan

Frankfurt

Vor Ort

EUR 90.000 - 120.000

Vollzeit

Vor 5 Tagen
Sei unter den ersten Bewerbenden

Zusammenfassung

A leading financial institution in Frankfurt is seeking a Corporate Treasury CIO Vice President to develop and implement liquidity and risk management strategies. The role involves managing a significant balance sheet and requires extensive experience in financial services. Responsibilities include engaging with regulators and preparing senior management presentations. Candidates should have strong analytical and communication skills, and an understanding of the European Union regulatory banking framework.

Qualifikationen

  • Extensive financial services industry experience focused on liquidity management and balance sheet.
  • Ability to collaborate effectively with various stakeholders.
  • Strong analytical and presentation skills.

Aufgaben

  • Manage liquidity, funding, and interest rate risk profiles.
  • Execute ILAAP and CFP processes coordinating across multiple functions.
  • Engage with regulators on Treasury activities.

Kenntnisse

Liquidity management
Business analysis
Treasury experience
Analytical skills
Communication skills
Jobbeschreibung
Overview

You will work in partnership with senior management, developing and implementing the liquidity and structural interest rate risk strategy for JP Morgan Chase’s primary entity in the European Union. This position is a rare opportunity to work in a fast paced, international team managing a €400bn balance sheet.

As a Corporate Treasury CIO Vice Presidentin theJ.P.Morgan SE Treasury team, you will support the J.P.Morgan SE Treasurer in their responsibility for the management of liquidity, funding, structural interest rate risk and Foreign Exchange risks management for the firm’s European Union subsidiary J.P.Morgan SE.You will help to prepare presentations to senior management as well as regulators working closely with the wider EMEA Corporate Treasury team in London.

Job responsibilities
  • Analyses, understands and manages the liquidity, funding and Interest Rate risk profiles of JPMSE, in conjunction with financial, legal, regulatory, market and operational constraints
  • Plans and executes the ILAAP (Internal Liquidity Adequacy Assessment Process) and CFP (or equivalent documents), working with multiple business lines and functions across the Firm to coordinate input into these documents
  • Provides input from a Liquidity and Treasury perspective into ICAAP (Internal CapitalAdequacy Assessment Process), Recovery and Resolution Planning documents
  • Coordinates regulatory engagement in relation to all Treasury activities in JPMSE
  • Understands in details and able to explain succinctly the content of liquidity and interest rate risk regulatory returns and key factors
Required qualifications, capabilities and skills
  • Extensive financial services industry experience with a focus on liquidity management, balance sheet, business analysis, treasury experience
  • Ability to operate in an environment with a high level of scrutiny and be able to collaborate effectively with a range of internal and external stakeholders across levels
  • Excellent analytical and presentation skills and the ability to convey complex issues succinctly
  • Strong communication skills and ability to coordinate across various lines of business, legal entities and regions
  • Ability to excel under pressure, prioritize effectively across multiple tasks and bring tasks to closure
Preferred qualifications, capabilities and skills
  • Understanding of the regulatory banking framework of the European Union
  • Experience in preparing materials for senior management and/or regulatory bodies
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