As a Central Bank Cash Analyst within Cash Asset Management team, you will gain practical experience of managing the firm’s Euro balances within a variety of clearing channels. As well as being a valuable member of the local team you’ll also be interacting with teams around the globe and can expand your knowledge about Central Bank Cash Operations in different markets. We’re looking for someone with relevant experience or knowledge in this area, however candidates with a financial background who are keen to learn something new will also be considered.
Job responsibilities
- Manage of the overall EURO position for the bank
- Manage intraday liquidity for the firm's EURO central bank clearing activities.
- Monitor EURO High Value, Low Value Clearing and Instant Payments Channels
- Handle security Settlement Channel (Target 2 Securities) cash settlement
- Execute time critical payments and meet all payment obligations
- Handle internal and external client requests
Required qualifications, capabilities, and skills
- Ability to learn and work with all JP Morgan Clearing products and Systems
- Broad-based IT skills and applications experience
- Proficiency level in English (spoken and written)
- Effective problem solving skills
- Motivated and driven personality, takes initiative and responsibility
- Ability to work as a team player
- Strong organizational, time-management and multi-tasking skills
- Judgement to assess and manage business risk
- Leverages virtual teams and nurtures a large network
- Attention to detail, strong analytical and numerical skills
- Ability to work in a team with rotational shift working hours between 6:00 and 19:00 CET
Preferred qualifications, capabilities, and skills
- Ideally degree qualified or equivalent in Finance, Banking, Business Administration
- German language is a plus