Join JPMorganChase as a Fund Services Associate I and become an integral part of our dynamic team. This role offers a unique opportunity to enhance your career by working closely with operations, financial controllers, and external partners. You'll be at the forefront of ensuring smooth fund servicing operations while contributing to process improvements. Embrace the chance to grow your skills in a supportive environment that values innovation and collaboration.
As a Fund Servicing Associate I within JPMorganChase, you will play a pivotal role in enhancing our operational services related to fund accounting and administration. Your work will have a meaningful impact within our department, as you apply your broad knowledge of fund servicing principles and practices to perform diverse activities requiring analysis and judgement. With your advanced emotional intelligence, you will build trusting relationships with peers, managers, and stakeholders, fostering a collaborative environment. Your continuous improvement mindset will drive you to propose and implement improvements to our current working methods, contributing to the efficiency and resilience of our operating platform.
Job responsibilities
- Lead cross-functional initiatives, define scope and deliverables, and manage timelines, dependencies, and stakeholder engagement.
- Identify automation opportunities, translate business requirements into solutions, and drive analytics-led decision-making and reporting.
Ensure strong control frameworks, including audit trails, access controls, and exception handling across solutions.
Drive role-based learning, maintain SOPs and knowledge repositories, and ensure team readiness through structured training programs.
- Apply change management principles to drive adoption, monitor progress, and ensure sustainable implementation.
- Develop executive-level presentations translating complex data into clear business insights and recommendations.
Required qualifications, capabilities, and skills
- CA / MBA / Post Graduate
- 4+ years in operations transformation, automation, analytics, or project delivery within financial services
- Strong analytical and data-driven mindset
- Solid foundation in mathematics and accounting
- Advanced PowerPoint skills for executive reporting
- Strong problem-solving and stakeholder management capabilities
Preferred qualifications, capabilities, and skills
- Experience in Fund Accounting / NAV cycle
- Knowledge of capital markets (equities, fixed income, FX derivatives preferred)
- Familiarity with automation tools (RPA, workflow, low-code platforms)
- Certifications (Lean Six Sigma, PMP, Agile) - good to have