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You are a strategic thinker passionate about driving solutions in Treasury team. You have found the right team.
As a Treasury Associate in our CIB Treasury P&A team, you will spend each day defining, refining, and delivering set goals for our firm. You will be responsible for managing forecasts and plans to support Treasury strategies-including balance sheet, funding, liquidity, G-SIB, RWA, capital, and leverage initiatives. You will provide analytics for senior management across regulatory constraints, supporting CIB objectives to maximize return on capital, balance sheet usage, liquidity, and leverage.
You will partner with CIB Finance senior management, business heads, product controllers, and planning and analysis teams, working closely with LOB Product Control, Corporate Finance Reporting, Corporate Treasury, Corporate P&A, and the Regulatory Capital Management Office (RCMO) to ensure complete and accurate reporting of risk-weighted assets, balance sheet, capital, and liquidity for both actuals and forecasts. Based in Mumbai, you will support the New York team in delivering annual and quarterly stress forecast cycles for CCAR FED submissions, ensuring a comprehensive understanding of business issues and the accurate execution of policies.
Job responsibilities
Required qualifications, capabilities, and skills
Preferred qualifications, capabilities, and skills
JPMorgan Chase Bank, N.A., doing business as Chase Bank or often as Chase, is an American national bank headquartered in New York City, that constitutes the consumer and commercial banking subsidiary of the U.S. multinational banking and financial services holding company, JPMorgan Chase
Job ID: 142909961