▷ Only 24h Left Treasury Controller
2 days ago
Job Category Controller You are a strategic thinker passionate about driving solutions in Treasury You have found the right team As a Liquidity Associate in our Finance team you will spend each day defining refining and delivering set goals for our firm You will be instrumental in managing the liquidity balance sheet and capital positions of our Investment Banking businesses In this role you will engage with a variety of stakeholders including senior leadership and global teams to develop and implement strategies that enhance our risk management capabilities This position offers a dynamic and fast-paced environment ideal for individuals with a keen interest in capital markets and economics Job Responsibilities Produce comprehensive liquidity risk reports on a daily weekly monthly and quarterly basis including JPM Internal Stress and 6G LCR reports focusing on identifying key drivers of period-over-period movements and providing insightful variance commentary Develop and deliver detailed liquidity metrics packages for CIB senior management and key stakeholders ensuring all reports are accurate and timely Leverage understanding of financial products such as deposits commitments derivatives and secured funding along with regulatory guidelines like Basel III and LCR NSFR to assess their potential impact on our Line of Business Coordinate with global teams to create specific sub-Line of Business commentary and analysis ensuring reporting results are comprehensive and aligned with business objectives Collaborate with FALMA CTMO and other stakeholders to ensure the timely and accurate production of regulatory reporting maintaining a high standard of data integrity Engage with senior CIB Treasury and business leadership Controllers Global Treasury and Liquidity Risk Oversight to gather understand and analyze information related to balance sheet and liquidity implications Contribute to ongoing process improvements optimization and rationalization efforts related to balance sheet and liquidity management driving efficiency and effectiveness in operations Required Qualifications Capabilities and Skills Bachelor s Degree in Finance or a related field with a minimum of 4 years of experience in finance emphasizing analytical work Strong analytical skills with the ability to think creatively and solve complex problems You should be comfortable managing large datasets and extracting meaningful insights A solid understanding of finance and financial markets including On and Off balance sheet products particularly those related to market business such as prime brokerage and secured funding Excellent interpersonal and communication skills both verbal and written with the ability to present information in a clear concise and effective manner Strong organizational skills with the ability to execute responsibilities independently take ownership of tasks and work under pressure to prioritize and complete multiple tasks Proficiency in Microsoft Office applications particularly Excel PowerPoint Word and Access Preferred Qualifications Capabilities and Skills Familiarity with liquidity risk regulations and their implications for financial products Experience with automation tools such as Alteryx Tableau or Python which can enhance data analysis and reporting capabilities A proactive approach to staying informed about regulatory developments related to liquidity impacting CIB Treasury About Us JPMorganChase one of the oldest financial institutions offers innovative financial solutions to millions of consumers small businesses and many of the world s most prominent corporate institutional and government clients under the J P Morgan and Chase brands Our history spans over 200 years and today we are a leader in investment banking consumer and small business banking commercial banking financial transaction processing and asset management We recognize that our people are our strength and the diverse talents they bring to our global workforce are directly linked to our success We are an equal opportunity employer and place a high value on diversity and inclusion at our company We do not discriminate on the basis of any protected attribute including race religion color national origin gender sexual orientation gender identity gender expression age marital or veteran status pregnancy or disability or any other basis protected under applicable law We also make reasonable accommodations for applicants and employees religious practices and beliefs as well as mental health or physical disability needs Visit our for more information about requesting an accommodation About the Team J P Morgan s Commercial Investment Bank is a global leader across banking markets securities services and payments Corporations governments and institutions throughout the world entrust us with their business in more than 100 countries The Commercial Investment Bank provides strategic advice raises capital manages risk and extends liquidity in markets around the world
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Treasury Controller
4 weeks ago
Mumbai, Maharashtra, India, Maharashtra Straive Full timeMain responsibilities:Develop and implement advanced analytics frameworks to optimize treasury operations while leading daily/weekly controlling activitiesPrepare high quality quarterly reporting deliverables to senior management (such as FX and financial result analysis, IC and 3rd party loans, cash reconciliation, and hedging analysis)Manage Global...
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Treasury controller
4 weeks ago
Mumbai, India Straive Full timeMain responsibilities:Develop and implement advanced analytics frameworks to optimize treasury operations while leading daily/weekly controlling activitiesPrepare high quality quarterly reporting deliverables to senior management (such as FX and financial result analysis, IC and 3rd party loans, cash reconciliation, and hedging analysis)Manage Global...
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Treasury controller
4 weeks ago
Mumbai, India Straive Full timeMain responsibilities: Develop and implement advanced analytics frameworks to optimize treasury operations while leading daily/weekly controlling activities Prepare high quality quarterly reporting deliverables to senior management (such as FX and financial result analysis, IC and 3rd party loans, cash reconciliation, and hedging analysis) Manage Global...
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Treasury Controller
3 days ago
Mumbai, Maharashtra, India Straive Full time ₹ 20,00,000 - ₹ 25,00,000 per yearMain responsibilities:Develop and implement advanced analytics frameworks to optimize treasury operations while leading daily/weekly controlling activitiesPrepare high quality quarterly reporting deliverables to senior management (such as FX and financial result analysis, IC and 3rd party loans, cash reconciliation, and hedging analysis)Manage Global...
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Only 24h Left! Treasury Markets and Investments
4 weeks ago
Mumbai, India Deutsche Bank Full timeJob Description Position Overview In Scope of Position based Promotions (INTERNAL only) Job Title: Treasury Markets and Investments (TMI) Corporate Title: Associate/AVP Location: Mumbai, India Role Description - The candidate will be part of the Pool desk (within TMI) in Mumbai. The Pool function in Treasury is vital to the Bank's success. It acts as the...
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Treasury Operations
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▷ [Only 24h Left] SAP TRM Consultant
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Mumbai, India Avensys Consulting Full timeAvensys is a reputed global IT professional services company headquartered in Singapore. Our service spectrum includes enterprise solution consulting, business intelligence, business process automation and managed services. Given our decade of success we have evolved to become one of the top trusted providers in Singapore and service a client base across...
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Treasury Manager
7 days ago
Mumbai, Maharashtra, India Michael Page Full timeThe Treasury Manager will look after developing and implementing strategies to optimize cash flow manage liquidity FOREX risk management and maintain strong relations with financial entities Cash Flow management Monitor daily cash balances and forecast cash flow to ensure liquidity while executing cash positioning funding and short-term investments Treasury...