Product Control
- Employer
- J.P.Morgan
- Location
- London, United Kingdom
- Salary
- £marketrate
- Closing date
- Nov 23, 2019
View more
- Job Function
- Accounting/Audit/Tax
- Industry Sector
- Finance - General
- Employment Type
- Full Time
- Education
- Bachelors
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T/CIO Global Operations is part of the Treasury/Chief Investment Office (T/CIO) which is responsible for firm wide asset and liability management.
The execution middle office provides transaction analysis, P&L and risk, and project support to the T/CIO desks which execute transactions and manage resulting positions. You will participate in the effort to ensure the business's dynamic environment is well supported and properly controlled.
Key Responsibilities :
Qualifications/Key Skill-Sets
The execution middle office provides transaction analysis, P&L and risk, and project support to the T/CIO desks which execute transactions and manage resulting positions. You will participate in the effort to ensure the business's dynamic environment is well supported and properly controlled.
Key Responsibilities :
- Production and substantiation of P&L and Risk to CIO/Treasury FO/Management
- Provide supervisory oversight of daily P&L/Risk process and Regional/Global management reporting
- Provide oversight of daily system to system reconciliations
- Oversight/Monitor various corporate feeds relating to CIO & Treasury
- Monitor Market Risk related controls- includes updating/monitoring of risk limits, report clean P&L for VaR back testing, various risk reporting
- Monitor Credit risk related controls and includes working in close partnership with Credit Risk & reporting teams, produce country risk reporting, monitoring and escalation of collateral valuation differences
- Actively run Strategic Re-engineering and global projects involving front/back end systems and closely partner across 3 regions.
Qualifications/Key Skill-Sets
- Qualified Accountant (e.g. CFA, ACA, CIMA, ACCA) or other management discipline - preferred
- In depth understanding in trade life cycle, P&L explains, Market Risk reporting
- Good communication skills, robust and credible partner
- Detail oriented, ability to deep dive on processes and improve controls/efficiencies
- Good derivatives product knowledge with hands on experience in FX, Interest Rate, Fixed income & Treasury products
- Good understanding of transaction cycle, infrastructure & associated operational and financial processes and controls
- Strong relationship-building and networking skills
- Ability to deal with high level of ad-hoc requests and deliver under pressure
- Excel/ MS PowerPoint proficiency
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