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JPMorgan Treasury/Chief Investment Office Liquidity Risk Reporting Analyst 
United States, Delaware 
3226965

Yesterday

Job Responsibilities:

  • Execute and enhance the overall control environment and across core operational activities related to analytics and adjustments to the Firm’s Liquidity Risk data.
  • Identify improvements and leverage available toolsets (Alteryx, Tableau, Excel, SQL, Python) to own and implement changes through to completion.
  • Identify and implement business validation rules in support of assessing the quality of the Firm’s Liquidity Risk data.
  • Support LRI tech/business enhancements and assist in technology-related developments, ensuring appropriate prioritization and end-user testing.
  • Prepare presentations on projects/findings and present them to senior management.

Required Qualifications, Skills, and Capabilities:

  • Strong analytical and communication skills to investigate data and clearly summarize findings.
  • Experience in MS Excel (Pivot Tables, Vlookups).
  • Ability to think critically, solve problems, and make decisions independently.
  • Capable of working under pressure, prioritizing tasks, multitasking, and completing tasks efficiently.
  • Well-organized and able to work with minimal supervision.

Preferred Qualifications, Skills, and Capabilities:

  • Experience with SQL, Python, or data visualization tools such as Tableau.
  • Graduate of a Business-related (Finance, Economics, Business Management) Bachelor’s degree program.
  • Strong written and verbal communication skills, with the ability to create executive-level communications and presentations