Liquidity Risk and Market Risk Reporting - Vice President
JPMorgan ChaseJoin Chief Investment Office, Treasury and Corporate (CTC) & Liquidity Risk Reporting, a global team within Risk Reporting Middle Office that supports JPMorgan Chase's risk management strategy through changing market conditions by delivering critical Firmwide and Wholesale reporting for internal and regulatory needs. You will have significant opportunities to lead, own processes, and drive improvements, as the team supports a wide range of risk types across all businesses the bank offers.
As a Vice President in the Chief Investment Office, Treasury and Corporate (CTC) & Liquidity Risk Reporting team, you will be responsible for reporting across CTC Risk, Firmwide Liquidity Risk and Structural Interest Rate Risk. The team combines functional risk-reporting expertise with technical skills to build intelligent solutions, develop reports, and conduct analysis for the Risk Management teams.
Job Responsibilities
Lead and Manage the Chief Investment Office, Treasury and Corporate (CTC)/Liquidity Risk Reporting teams based in Bournemouth.
Manage and perform regulatory and internal risk reporting for firmwide, APAC, and EMEA CTC/Liquidity Risk, including CTC Market Risk, liquidity stress, limits and indicators utilization and breach reporting. This would include reporting on various Liquidity and Market Risk metrics like Value at Risk, sensitivities, Liquidity Coverage Ratio, Net Stable Funding Ratio, Stress, etc.
Actively participate in and guide strategic transformation programs and tactical initiatives to automate and enhance controls within existing reporting processes.
Develop and apply skills in tools such as Tableau and Alteryx to automate reporting processes.
Improve the overall control environment by developing new controls, automating manual processes, and enhancing process documentation.
Oversee and manage KPIs in terms of accuracy and timeliness of deliverables.
Communicate and collaborate effectively with global interfacing teams globally to guide project initiative; work closely with and manage senior stakeholders across the risk management organization.
Manage the team and be responsible for assessing, training, motivating, and coaching team members; serve as a culture carrier of the firm.
Required qualifications, capabilities and skills
Relevant experience in reporting, financial analytics, or related roles
Bachelor’s degree in Business, Accounting, Finance, Information Systems, or related quantitative discipline
Advanced proficiency with Microsoft Office, especially Excel
Deep understanding of financial products across asset classes (Credit, Rates, Equities, Commodities) and related market risk measures
Strong time-management, planning, and organizational skills; able to prioritize, multitask, and drive tasks to completion
Excellent verbal and written communication skills, with experience presenting to and influencing senior management and external stakeholders
Proven track record of managing and developing high-performing teams
Experience with analytical tools such as Python, Alteryx, Tableau, and with LLMs
Preferred qualifications, capabilities and skills
Background in risk is a plus
Ability to influence change and proactively address problems with a strong control mindset