Markets Treasury - EMEA - Vice President/Executive Director
J.P. Morgan
Markets Treasury – EMEA – Vice President/Executive Director
Job Information
- Job Identification 210668797
- Job Category Treasury
- Business Unit Commercial & Investment Bank
- Posting Date 29/09/2025, 05:00
- Locations 25 Bank Street, Canary Wharf, London, Greater London, E14 5JP, GB
- Job Schedule Full time
Job Description
JPMorgan Chase is seeking a Vice President/Executive director to join our newly formed Markets Treasury function.
This is an exciting opportunity to work on the EMEA Markets Treasury team, where you will take a leading role managing the business’ financial resources such as balance sheet, capital, liquidity, and leverage. The role functions as an intermediary between Corporate Treasury (TCIO) and the Markets business to properly incentivize client and trading activity while ensuring the optimal use of financial resources. As part of this role, you will work closely with EMEA trading desks and various stakeholders across the firm to deliver on business results. The team also will work closely with our Treasury Data & Analytics team, technology, and quant teams to deliver on our data agenda.
Job responsibilities
- Be a subject matter expert on financial resource topics and the impacts to the business.
- Develop close relationships with trading desks to anticipate business needs and understand drivers of financial resource consumption.
- Partner with trading desks to optimize the use of financial resources.
- Analyze profitability of trading desks across different metrics (i.e. return on equity, liquidity, GSIB, etc).
- Understand the effects of proposed regulatory changes to the business and work with internal partners on advocacy efforts.
- Understand the competitive landscape across the EMEA region and binding financial resource constraints for other peer banks.
- Understand the fund transfer pricing between TCIO and LOB trading desks.
- Provide treasury guidance on financial infrastructure services/products which have a strong financial resource impact, such as clearing, collateral management, and liquidity management.
- Help develop new tools and analytics in partnership with the Treasury Data & Analytics team.
Required qualifications, capabilities, and skills
- Solid related industry experience. Past roles in Line of Business (LOB) Treasury, Trading, and/or Financial Resource Management roles.
- Deep understanding of financial resource topics including US implementations of Basel III RWA, GSIB, liquidity (LCR/internal stress models), leverage, and regulatory/clearing house initial margin.
- Experience building and managing a high performing team.
- Strong understanding of bank profitability metrics and drivers.
- Strong knowledge in the pricing and risk management of financial products including financing, cash, and derivative transactions.
- Proven experience working with large amounts data and analyzing output to identify trends.
- Good interpersonal and communication skills (verbal and written) with ability to interact comfortably with senior stakeholders.
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Experience working with technology and quantitative research teams to deliver on strategic data projects.
Preferred qualifications, capabilities, and skills
- Bachelor’s degree in a quantitative field.
- Knowledge of Python, SQL, Tableau, AWS, Databricks, and AI tools strongly preferred.
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