Commercial and Investment Bank Treasury Liquidity Analytics-Vice President
On-site · London, England, United Kingdom
Job Summary
Vice President, Treasury Liquidity Analytics in the Corporate & Investment Bank (CIB) Treasury. Lead and contribute to the design and delivery of key stress methodology items into liquidity reporting, partner with technology and risk teams to enhance liquidity risk management capabilities, write clear business requirements to drive strategic initiatives, and provide governance on the Internal JPM Stress Framework and US LCR/NSFR. Collaborate with Front Office, Regional Treasury, Corporate Treasury, and Liquidity Risk Management to ensure liquidity stress methodology aligns with the liquidity needs of CIB markets. Strong emphasis on funding, liquidity regulatory developments, and advanced analytics using Excel, PowerPoint, and analytics tools. Preferred knowledge includes derivatives, prime brokerage, secured funding, financial theory, and related tools (Python, SQL, Tableau, AWS, Databricks, and AI tools).
Required Qualifications
- Knowledge of funding, liquidity and regulatory developments in the treasury space
- Excellent written and verbal communications skills
- Strong track record of partnership/delivery of projects
- Excellent working knowledge of Excel and PowerPoint (including PitchPro)
- Strong analytical skills, critical thinking and problem-solving ability
- Hands-on team player with ability to work independently or coordinate input from others
- Ability to multi-task and deliver under tight deadlines
- Strong process and control mindset with attention to detail
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