Securities Services - On-Balance Sheet Product - Vice President
J.P. Morgan
Securities Services - On-Balance Sheet Product – Vice President
Job Information
- Job Identification 210666240
- Job Category Product Management
- Business Unit Commercial & Investment Bank
- Posting Date 09/11/2025, 07:22 AM
- Locations 25 Bank Street, Canary Wharf, London, Greater London, E14 5JP, GB
- Job Schedule Full time
- Job Shift Day
Job Description
Job Summary
As a Vice President within the On-Balance Sheet Liquidity Product team in Securities Services Liquidity & FX, you will play a key role in supporting the design, delivery, and ongoing management of innovative balance sheet solutions for a global client base of asset managers and asset owners. The On-Balance sheet product team is responsible for running a $225BN+ deposit book, $1.5BN of overdrafts, providing innovative interest and liquidity solutions designed to meet the needs of Securities Services asset manager and asset owner client base – handling 425,000+ demand deposit accounts across 70+ currencies. The team reports into the Global Head of Liquidity & FX, and is part of the Custody organization within Securities Services.
Reporting directly to the Global Head of On-Balance Sheet Product, you will be instrumental in driving the execution of the strategic product roadmap, ensuring delivery of high-quality product solutions that are aligned with client needs, regulatory requirements, and firmwide goals. You will collaborate cross-functionally with stakeholders in Product Development, Technology, Operations, Sales, Risk, Finance, and Legal to deliver robust and scalable solutions.
This role is ideal for a candidate with strong product management experience, regulatory fluency, and a client-first mindset who thrives in a fast-paced, global environment.
Job responsibilities
- Support Product Strategy Execution: Drive delivery of key product initiatives across deposits, liquidity, and interest solutions, ensuring alignment with the broader Securities Services and Cash & Liquidity strategy.
- Product Lifecycle Ownership: Manage day-to-day product performance, including onboarding support, pricing reviews, client engagement, issue resolution, and continuous enhancement of features and controls.
- Client and Market Focus: Assist in developing and tailoring solutions to meet evolving client needs, including global and regional asset managers and asset owners, and monitor market developments and competitor offerings.
- Cross-Functional Delivery: Partner with Technology and Operations to support the ongoing build-out of the strategic liquidity platform, including migrations from legacy solutions (e.g., notional pooling and group pricing).
- Subject Matter Expertise: Develop and maintain expertise across deposit products and liquidity structures, including pricing, liquidity management, and regulatory topics such as Basel III, deposit insurance, and withholding tax considerations.
- Risk & Regulatory Support: Contribute to the creation and maintenance of robust control frameworks that support compliance with deposit-taking regulations and internal risk standards.
- Analytics & Reporting: Leverage data to support product decisions, identify trends and opportunities, and contribute to performance tracking and reporting for senior management.
- Stakeholder Engagement: Build strong partnerships across internal teams including Balance Sheet Management, Treasury, Finance, Risk, and Legal to ensure alignment and successful execution of product deliverables.
Required qualifications, capabilities, and skills
- Proven experience in product management, financial services, or liquidity and deposit products, within Securities Services, Treasury, or Payments environments.
- Strong analytical and problem-solving skills, with the ability to manage complex, multi-dimensional initiatives across functions.
- Excellent written and verbal communication skills with the ability to articulate technical concepts to diverse audiences.
- Familiarity with global regulatory frameworks impacting deposits and liquidity (e.g., Basel III, LCR/NSFR, deposit insurance regimes).
- Strong organizational skills and attention to detail; capable of managing multiple priorities in a dynamic environment.
- Demonstrated ability to work independently while also contributing to team-based deliverables.
Preferred qualifications, capabilities, and skills
- Securities Services-related experience, and/or deposit experience
- Understanding of liquidity products such as notional pooling, group pricing, and multi-currency deposit structures.
- Exposure to platform or infrastructure transformation projects, especially in a highly regulated environment.
About Us
About the Team
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