US Convertible Bond Desk Trading Assistant – Associate

JPMorgan Chase & Co.

New York (NY)

On-site

USD 110,000 - 140,000

Full time

14 days+
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Job summary

JPMorgan Chase & Co. in New York seeks a Trade & P&L Support Associate/Analyst for the US Convertible Bond Desk to help maintain desk P&L integrity, manage risk, resolve trade breaks, and deliver critical daily reporting to senior stakeholders.

You will partner with Product Control, Financial Control, Trade Support, and external counterparties to drive accurate outcomes under tight timelines, and assist with corporate actions processing and onboarding activities.

Qualifications

  • Strong analytical and quantitative skills.
  • Superior written and verbal communication.
  • Ability to work in fast-paced, high-pressure trading environment.
  • Strong collaboration across the firm.
  • Proven problem-solving and deadline-driven abilities.

Responsibilities

  • Analyze P&L discrepancies and coordinate corrective actions.
  • Investigate and resolve trade breaks and disputes.
  • Maintain instrument reference data and reconciliations.
  • Generate and distribute daily Sales & Trading reports.
  • Run end-of-day P&L and risk outputs for senior management.
  • Assist traders with corporate actions elections.
  • Support new client onboarding and remediation.

Skills

Analytical skills
Communication skills
Fast-paced environment
Collaboration
Problem solving
Multi-tasking

Job description

This role helps ensure the US Convertible Bond Desk operates smoothly day-to-day through strong controls, timely reporting, and rapid issue resolution.

Job summary

As a Trade & P&L Support Associate or Analyst on the US Convertible Bond Desk, you will help maintain the integrity of desk P&L and risk, resolve trade breaks and disputes, support corporate actions processing, and deliver critical daily reporting to senior stakeholders. You will partner closely with Product Control, Financial Control, Trade Support, and external counterparties to drive accurate outcomes under tight timelines.

Job responsibilities
  • Conduct root cause analysis on P&L discrepancies and coordinate corrective actions with Product Control, Financial Control, and Trade Support
  • Investigate and resolve trade breaks and disputes with client and broker counterparties
  • Maintain instrument reference data, including periodic reconciliations and required updates
  • Generate and distribute Sales & Trading reports for morning meetings
  • Run end-of-day P&L and risk capture and distribute outputs to senior management
  • Assist traders with corporate actions elections and event processing
  • Support new client onboarding and customer remediation activities
Required qualifications, capabilities, and skills
  • Strong analytical and quantitative skills
  • Superior written and verbal communication skills
  • Ability to incorporate and process new information in a fast-paced, high-pressure trading environment
  • Strong collaboration skills and ability to network effectively across the firm
  • Proven problem-solving skills and ability to develop practical strategies to achieve strong business outcomes
  • Ability to multi-task and meet deadlines in a changing and demanding work environment
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