Fund Servicing Associate (Manager) - OTC Derivatives

JPMorgan Chase & Co.

Manila

On-site

PHP 1,000,000 - 2,500,000

Full time

13 days ago
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Job summary

JPMorgan Chase & Co. in Manila is seeking a Fund Servicing Associate (Manager level) in Securities Services Operations to lead the timely and accurate NAV delivery and client release for derivatives trades, with a strong emphasis on controls and issue ownership.

The role requires knowledge of OTC derivatives, valuation, and collateral, plus excellent communication and collaboration across Operations, Technology, Risk, and Finance. This is a full-time on-site position with growth opportunities.

Qualifications

  • Knowledge of OTC derivatives, valuation, cash flows, and collateral required.
  • Understanding valuation impacts across asset classes (fixed income, equities, commodities).
  • Experience with controlled processing in an operations environment with deadlines.
  • Strong risk and controls mindset with ownership of issues end-to-end.
  • Excellent written and verbal communication to engage stakeholders at all levels.
  • Ability to collaborate with Operations, Technology, Risk, and Finance.
  • Strong time management and structured problem-solving skills.

Responsibilities

  • Apply derivatives and securities market knowledge to support accurate, controlled processing.
  • Lead day-to-day team execution and quality oversight to support timely NAV delivery and client release.
  • Process and validate derivatives trades and lifecycle events per client instructions.
  • Book trades with complete valuation, cash flow, and collateral processing.
  • Reconcile derivatives portfolios and investigate breaks, driving timely resolution.
  • Perform first-level authorization and quality review per controls.
  • Act as escalation point and respond to stakeholder queries promptly.
  • Partner with internal teams to resolve exceptions efficiently.
  • Perform root-cause analysis to increase straight-through processing and reduce inquiries.
  • Manage operational risk by identifying, escalating, and resolving issues with end-to-end ownership.
  • Partner with technology and strategy teams to support onboarding activity and enhancements.

Job description

Join our team to build your career in a culture that values innovation, creativity and excellence. You will work in a fast-paced environment where accuracy, controls, and client outcomes matter every day.

As aFund Servicing Associate (Manager level)inSecurities Services Operations, you will be responsible for timely and accurate net asset value (NAV) delivery to support fund accounting and client release. You will lead day-to-day execution and provide oversight to ensure accurate booking of derivatives trades based on client instructions, including valuation, cash flows, and collateral processing. You will process, value, and reconcile client over-the-counter derivatives activity using third-party derivatives servicing platforms and relevant market and economic data. You will manage exceptions and escalations, apply strong risk and controls discipline, and partner with internal teams to resolve issues within required service levels. You will support ongoing client onboardings and technology enhancements in a dynamic operating environment.

Job responsibilities:
  • Apply derivatives and securities markets knowledge to support accurate, controlled processing.
  • Lead day-to-day team execution and quality oversight to support timely NAV delivery and client release.
  • Process and validate derivatives trades and lifecycle events in line with client instructions and procedures.
  • Book trades accurately and ensure completeness of valuation, cash flow, and collateral processing.
  • Reconcile derivatives portfolios and investigate breaks, driving timely resolution within cutoffs.
  • Perform first-level authorization and quality review activities in accordance with controls and procedures.
  • Act as an escalation point and respond to stakeholder queries promptly and accurately.
  • Partner with internal teams to resolve exceptions efficiently and prevent recurrence.
  • Perform root-cause analysis to increase straight-through processing and reduce client inquiries.
  • Manage operational risk by identifying, escalating, and resolving issues above materiality thresholds with end-to-end ownership.
  • Partner with technology and strategy teams to support onboarding activity and implement process or system enhancements.
Required qualifications, capabilities, and skills:
  • Working knowledge of over-the-counter derivatives products and servicing processes, including valuation, cash flows, and collateral.
  • Understanding of client valuation processes and valuation impacts across major asset classes (for example, fixed income, equities, commodities, and indices).
  • Experience executing or overseeing controlled processing in an operations environment with deadlines and cutoffs.
  • Strong risk and controls mindset, including escalation and end-to-end issue ownership.
  • Strong written and verbal communication skills with the ability to engage stakeholders across levels.
  • Ability to collaborate effectively with partners across Operations, Technology, Risk, and Finance.
  • Strong time management and structured problem-solving skills.
Preferred qualifications, capabilities, and skills:
  • Bachelor’s degree.
  • Five years of experience in the financial services industry.
  • Experience with digital or automation tools (for example, Tableau or Alteryx).
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