VP, Markets Treasury Analytics & Resource Management

JPMorganChase

Greater London

On-site

GBP 110,000 - 160,000

Full time

5 days ago
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Job summary

J.P. Morgan is seeking a Markets Treasury Manager in London to lead resource planning for balance sheet, capital, liquidity, and leverage. The role acts as a bridge between Corporate Treasury and Markets, coordinating with EMEA desks and the Advanced Treasury Analytics team to optimize financial resources.

You will collaborate with technology and quant teams to deliver on our data agenda while driving profitable outcomes and managing regulatory considerations.

Qualifications

  • Solid related industry experience in Trading or Treasury roles.
  • Experience with derivative pricing, life cycle, XVA pricing, and CSA documentation.
  • Understanding of Basel III RWA, GSIB, liquidity, leverage and regulatory margins.

Responsibilities

  • Be a subject matter expert on financial resource topics and their impact on the business.
  • Develop relationships with trading desks to anticipate needs and drivers of resource consumption.
  • Partner with trading desks to optimize use of financial resources.
  • Analyze profitability of trading desks using metrics like ROE, liquidity, and regulatory indicators.
  • Understand effects of proposed regulatory changes and coordinate Advocacy.
  • Assess competitive landscape and binding resource constraints for peers.
  • Explain fund transfer pricing between TCIO and LOB desks.
  • Provide treasury guidance on infrastructure services affecting resources (clearing, collateral, liquidity).
  • Develop new tools and analytics with Advanced Treasury Analytics.

Skills

Trading
Financial Resource Management
Line of Business Treasury
Data analysis
Stakeholder communication
Interpersonal skills

Education

Bachelor's or Master's in a quantitative field

Tools

Python
SQL
Tableau
AWS
Databricks
AI tools

Job description

J.P. Morgan is seeking a Markets Treasury Manager in London to lead resource planning for balance sheet, capital, liquidity, and leverage. The role acts as a bridge between Corporate Treasury and Markets, coordinating with EMEA desks and the Advanced Treasury Analytics team to optimize financial resources.

You will collaborate with technology and quant teams to deliver on our data agenda while driving profitable outcomes and managing regulatory considerations.

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