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JPMorgan Treasury & Chief Investment Office - Vice President 
Malaysia, Kuala Lumpur 
681238830

29.05.2025

As a Vice President in the Treasury & Chief Investment Office team reporting to the Malaysia Treasurer, you will be based in Kuala Lumpur and primarily responsible for execution of liquidity funding trades as part of liquidity risk management activities, assisting in management of securities for regulatory and investment books and performing/reviewing Balance Sheet analytics. This includes booking of trades necessary, production of various reporting, liaising with back and middle office teams regarding the cash position and assisting in other operational issues. You will also assist in providing periodical market update and ad hoc reports as necessary to participate and support senior managers’ decision making in portfolio management.

Job responsibilities

  • Manage daily funding and liquidity risk for the Malaysia subsidiary and related entities, including local currency, USD, and other active currency nostros within assigned limits
  • Assist in managing the securities portfolio for liquidity, regulatory, and structural interest rate risk management
  • Execute funding trades such as money market, repo/reverse repo, and FX with both internal and external counterparties
  • Price and publish Funds Transfer Pricing for loans and deposits daily
  • Prepare and/or review liquidity-related reports, including liquidity coverage ratio, net stable funding ratio, liquidity limits and indicators, stress tests, daily market commentary, and Risk & Asset and Liability Committee (RALCO) materials
  • Assist the Treasurer in coordinating front-office projects such as balance sheet analysis and ad hoc queries as necessary
  • Estimate and report daily Profit & Loss
  • Collaborate with internal Treasury & Chief Investment Office functions and other firmwide teams, including Line of Business Partners, Funds Transfer Pricing team, Liquidity Management Team, Liquidity Risk Management, Middle Office, Finance, and Business Management teams

Required qualifications, capabilities and skills

  • Bachelor’s degree in Accounting, Finance, Economics or other related disciplines
  • Minimum of 7 years of work experience in Treasury funding, liquidity and balance sheet management or Markets related roles
  • Attention to detail and strong sense of governance to ensure compliance with regulatory and internal requirements
  • Good team worker, effective interpersonal and communication skills – be able to interact proactively and effectively with external and internal stakeholders
  • Ability to work in a global set up by managing partnerships with offshore front office colleagues
  • Problem solving skills with ability to analyze data and market trends
  • Self-directed, highly motivated and able to work independently
  • Good proficiency in Bloomberg, Microsoft Excel and Power Point

Preferred qualifications, capabilities and skills

  • Financial Markets Association of Malaysia accreditation, if not held will need to complete