J
Full Time Permanent

New York City, New York · USA job

Balance Sheet Management - Liquidity, Senior Associate

JP Morgan Chase

New York City, New York

Job description

Overview

In this Senior Associate role, you shape liquidity strategy by converting balance sheet and market dynamics into actionable insights for a global financial institution. You'll work with Treasury leaders and key stakeholders to support resilient funding and liquidity outcomes, balancing rigor with clear, decision-ready communication. You'll monitor firm-wide liquidity and currency exposures, assist forecasting and internal stress measures, and contribute to strategic balance sheet initiatives. This role offers meaningful impact through cross-functional collaboration and data-driven problem solving.

Compensation / Benefits
  • comprehensive health care coverage
  • retirement savings plan
  • tuition reimbursement
  • mental health support
  • backup childcare
  • financial coaching
Responsibilities
  • Monitor firm-wide and legal entity balance sheets and liquidity positions, including currency exposures
  • Lead balance sheet and liquidity management coverage
  • Assist liquidity forecasting for US LCR, US NSFR, and internal liquidity stress measures (ILST)
  • Create presentations for Board of Directors, ALCO, senior management, and regulatory requests
  • Participate in strategic initiatives around the Firm's balance sheet and liquidity management
Key requirements
  • Minimum 3 years of full-time experience in Treasury, Investment Banking, Risk Management, or Management Consulting
  • Bachelor's and/or Master's degree in Finance, Economics, Engineering, or Mathematics
  • Excellent collaboration, organizational and verbal/written communication skills
  • Ability to work under pressure, prioritize multiple tasks, and close tasks effectively
  • collaboration
  • communication
  • ability to work under pressure
  • PowerPoint
  • Excel
  • Tableau

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