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JPMorgan Chase & Co. Risk Reporting [MR-RR-VC-004491] in New York, New York

JPMorgan Chase & Co.JOB TITLE: Risk ReportingLOCATION: 277 Park Avenue, New York, NY 10172. Telecommuting permitted up to 40% of the week.DUTIES: Perform due diligence in large data sets to diagnose a problem. Design operating models that articulate how applications and human beings will interact. Manage treasury risks for the bank/firm. Source and analyze data to facilitate due diligence and develop solutions. Construct problem models, establishing relationships between constants and variables, and extract narratives from the data to support objective implementation. Validate and test intraday liquidity methodology to ensure accuracy and completeness, adjusting models as needed. Collaborate with senior managers and decision makers to identify and resolve issues within cash flow forecasting and intraday liquidity. Set up control frameworks to calculate data delays, monitor accounts, and build payments data visualization views to clarify management goals, as well as assist with decision-making and data validation. Present results of due diligence and data analysis to management and other stakeholders. Devise a cash and liquidity platform administration strategy, encompassing a comprehensive controls framework. Collaborate across business lines to ensure successful solution implementation. Oversee the design and implementation of the global control framework and related projects. Assist management in planning and prioritizing Intraday Liquidity, Cashflow and Liquidity Forecasting, and Cash Account Management initiatives. Cultivate strong partnerships with stakeholders to comprehend end-to-end transaction processes, pinpoint risks, and devise mitigating solutions. Lead end-to-end strategic liquidity and funding projects, collaborating with cross-functional partners across improvement areas to propose and execute solutions. Aid in executing program strategy through analysis of existing standards and operating models, budget and business management, and supporting the implementation of the target state operating model across various business use cases.REQUIREMENTS: Bachelor's degree in Business Administration, Finance or related field of study plus 5 years of experience in the job offered or as Risk Reporting, Risk Specialist, Treasury Management, Foreign Exchange, Project Management, Management Consulting, or related occupation. Requires experience in the following: working with liquidity data; data analytics using Tableau; data analysis, pivot tables, and advanced charting in Excel; PowerPoint graphs; working with Information Technology to develop treasury and liquidity management tools and applications; wholesale payments, foreign currency dealing, or currency risk management; managing treasury function risks such as liquidity risk or interest rate risk; project management with cross functional teams; presenting liquidity analysis and management summaries to senior- level stakeholders. Full-time. Salary: $165,000 - $185,000 per year. To apply for this position, please email your resume to my.resume@jpmchase.com with following job ID clearly indicated: [MR-RR-VC-004491]. JPMorgan Chase & Co. is an Equal Opportunity and Affirmative Action Employer, M/F/D/V.

Minimum Salary: 165,000 Maximum Salary: 175,000 Salary Unit: Yearly

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