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This job expired on 26/09/2026. It no longer accepts applications.
Liquidity & Balance Sheet Analytics – Treasury Vice President
JPMorgan Chase & Co. · London
Job description
About the role
This senior position sits at the heart of JPMorgan's Commercial & Investment Bank Treasury team in London. You will shape how the global Treasury function monitors and manages liquidity across key international legal entities, providing clear insights for senior decision‑makers.
Key responsibilities
- Drive monitoring of liquidity usage against internal stress frameworks and regulatory measures such as LCR and NSFR.
- Conduct analytical reviews of business‑level liquidity usage, volatility and balance‑sheet composition.
- Collaborate with CIB business lines, Corporate Treasury and risk partners on current and future funding requirements.
- Track compositional shifts in third‑party and affiliate‑facing balances, lending and deposit pipelines.
- Produce and present analyses at senior forums (ALCO, weekly updates) and support monthly liquidity sign‑off.
- Provide ad‑hoc analytical support for regulator and senior‑management requests.
Required profile
- Strong understanding of capital markets, liquidity risk management and funding concepts.
- Knowledge of ALM, liquidity regulations (LCR, NSFR) and investment‑bank product balance sheets.
- Familiarity with general accounting principles.
- Proficiency in Excel and ability to leverage data‑visualisation tools.
Required skills
- Advanced Excel
- Alteryx
- Tableau
What we offer
- Exposure to a broad suite of CIB products and senior stakeholders.
- Opportunity to influence liquidity strategy across a global bank.
- Competitive compensation and development pathways.
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JPMorgan Chase & Co.
London
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