Trade Lifecycle Manager, Prime Brokerage Ops

JPMorganChase

Jersey City (NJ)

On-site

USD 90,000 - 130,000

Full time

14 days+
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Job summary

JPMorganChase is seeking a Trade Lifecycle Manager I to lead pre- and post-trading operations across asset classes, ensuring accurate cash movements and proper funding coordination. The role involves managing collateral, client service interactions, and driving process improvements to support complex margin workflows.

You will oversee settlements, risk monitoring, and control procedures, while collaborating with the Prime Brokerage team to optimize service delivery and maintain high standards of

Qualifications

  • Broker Dealer Operations experience or similar background.
  • Strong Excel and numeracy with attention to detail.
  • Excellent communication and problem-solving skills.
  • Ability to work under pressure and meet deadlines.
  • Series 99 license required within 180 days of start.

Responsibilities

  • Manage and optimize client collateral and monitor movements.
  • Answer margin settlement requests, compare exposure, and approve asset movements.
  • Develop and extend Prime Brokerage Margin Service offerings.
  • Prevent deficits in client payments and resolve counterparty issues.
  • Maintain control environment by updating procedures.
  • Report issues to management and support inquiries.
  • Support reconciliations, investigate discrepancies, and perform root cause analysis.
  • Handle ad hoc requests, investigations, and audit requirements.
  • Regularly review processes and implement improvements.
  • Participate in STP initiatives and manage complex changes.
  • Ensure compliance with controls and training requirements.

Skills

Broker Dealer Ops
Cash Funding
Global Settlements
Excel Proficiency
Analytical Thinking
Attention to Detail
Communication Skills
Risk Identification
Process Improvement
Series 99 License

Tools

Core Systems

Job description

JPMorganChase is seeking a Trade Lifecycle Manager I to lead pre- and post-trading operations across asset classes, ensuring accurate cash movements and proper funding coordination. The role involves managing collateral, client service interactions, and driving process improvements to support complex margin workflows.

You will oversee settlements, risk monitoring, and control procedures, while collaborating with the Prime Brokerage team to optimize service delivery and maintain high standards of

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