VP, Liquidity Forecasting & Management Reporting

VP, Liquidity Forecasting & Management Reporting

Full-Time No working from home possible
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J.P. Morgan in London is seeking a Vice President for Treasury Planning & Analysis in the Commercial & Investment Bank Treasury (CIBT) group.

You will manage daily/weekly liquidity reporting, coordinate with analytics and LOB controllers, and craft senior-level overviews linking liquidity usage to business drivers. The role requires balancing regulatory constraints with business objectives, enabling accurate liquidity forecasts under LCR/NSFR rules, and driving process automation with robust

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VP, Liquidity Forecasting & Management Reporting employer: JPMorganChase

J.P. Morgan Europe Limited is an exceptional employer, offering a dynamic work culture that fosters collaboration and innovation in the heart of the financial sector. Employees benefit from comprehensive growth opportunities, competitive compensation, and a commitment to professional development, all while contributing to impactful consumer banking initiatives. Working here means being part of a prestigious institution that values insights and empowers its team members to drive meaningful change.

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Contact Details:

JPMorganChase Recruitment Team