Senior Product Control Analytics - Derivatives & Hedging

JPMorgan Chase & Co.

Newark (DE)

Hybrid

USD 120,000 - 165,000

Full time

14 days+
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Job summary

JPMorgan Chase & Co. in Newark, DE seeks a Treasury/Chief Investment Office North America Product Control professional to oversee daily P&L, hedge reporting and derivative accounting.

You will work with Front Office, Operations and Technology to implement controls and reporting for hedging activity. The role offers exposure to interest rate swaps, cross currency swaps and fixed income products, with opportunities to influence risk reporting and process improvements within a global financial

Qualifications

  • Basic understanding of Interest Rate Swaps, Cross Currency Swaps, Fixed Income Instruments and Debt products.
  • Knowledge of AI and experience applying AI is preferred.
  • Solid understanding of financial accounting and finance.

Responsibilities

  • Preparation & analysis of various daily P&L and position reports for Front Office
  • Compile various analyses to explain P&L components and drivers of hedge activity
  • Work closely with Technology teams to implement reporting requirements and resolve issues
  • Implementation of new hedging strategies
  • Oversight of various procedures and controls surrounding hedging activities
  • Recommend areas for improvement and streamline processes where appropriate
  • Participate in ad-hoc projects and other analytical requests

Skills

Interest Rate Swaps
Cross Currency Swaps
Fixed Income Instruments
Debt products
AI knowledge
Financial accounting
Communication skills
Project management

Job description

JPMorgan Chase & Co. in Newark, DE seeks a Treasury/Chief Investment Office North America Product Control professional to oversee daily P&L, hedge reporting and derivative accounting.

You will work with Front Office, Operations and Technology to implement controls and reporting for hedging activity. The role offers exposure to interest rate swaps, cross currency swaps and fixed income products, with opportunities to influence risk reporting and process improvements within a global financial

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