
location_on209, Empire Boulevard, Brooklyn, Kings County, New York, 11225, United States
As part of the Commercial & Investment Bank Treasury team at JPMorgan Chase, you will join one of the oldest and most innovative financial institutions in the world. With a history spanning over 200 years, our firm serves millions of consumers, small businesses, and prominent corporate, institutional, and government clients under the J.P. Morgan and Chase brands. We are a global leader in investment banking, commercial banking, financial transaction processing, and asset management.
The Treasury team plays a critical role in managing the firm's balance sheet, funding, and liquidity strategies. This group works closely with partners across the firm to drive business results while adhering to strict regulatory constraints and internal controls. The team is dedicated to optimizing capital management, ensuring consistency in financial resource allocations, and supporting the development of robust capital frameworks that navigate complex regulatory landscapes like Basel 3 Endgame and Federal Reserve stress testing regimes.
Work model: On-site
209, Empire Boulevard, Brooklyn, Kings County, New York, 11225, United States
New York, New York
Professional accounting or financial qualification (e.g., CFA, CPA, CA, ACCA). Experience in analytical reviews and presentation of business performance. Previous experience in a finance or planning role in banking or financial services. Strong fundamental understanding of bank profitability, key drivers of risk and return, and the impact of external trends or industry regulation. Experience with financial resource management in a bank treasury environment, supporting different CIB products (Banking and Markets). Knowledge of U.S. implementations of Basel regulatory capital rules (e.g., leverage requirements, Risk-weighted assets, GSIB, SCB, CCAR).