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JPMorgan Chase
JPMorgan Chase

Global financial services firm

Argentina FX & Foreign Trade (Comercio Exterior) Specialist - Senior Associate

职能财务/会计
级别资深
地点Ciudad Autónoma de Buenos Aires, Argentina
方式现场办公
类型全职
发布4周前
立即申请

Embark on your journey as an Argentina FX & Foreign Trade (Comercio Exterior) Specialist where you’ll be instrumental in managing the operational lifecycle of cross-border flows and FX-linked activities. Your expertise in Argentine foreign trade regulation and FX controls will help ensure accurate execution, timely cash coordination, and ongoing compliance amid frequent regulatory updates impacting trade and FX products.

As a Trade Lifecycle Manager II within JPMorgan Chase, you will play a pivotal role in managing day-to-day operations supporting **Foreign Trade (Comercio Exterior)**and FX product-related workflows in Argentina. You will ensure transactions are processed correctly across platforms, cash movements are executed and reconciled, and regulatory and documentation requirements are met. You will be expected to apply advanced analytical and problem-solving skills to resolve complex exceptions and to drive continuous improvements, including automation and controls strengthening. Your role will involve close partnership with Compliance, Legal, Risk, Technology, and internal stakeholders, as well as effective communication and escalation to senior management when needed.

Job responsibilities

  • Oversee operational processing for Argentina cross-border / foreign trade and FX-related flows, ensuring accurate booking, monitoring, and completion of lifecycle activities and cash movements.
  • Ensure adherence to foreign trade and cross-border regulatory requirements, including trade/FX documentation validation, operational controls, and required reporting obligations.
  • Monitor and interpret FX controls and FX regulatory changes in Argentina, assess operational impact, and translate changes into updated procedures, controls, and execution steps.
  • Manage exceptions and investigations (breaks/fails), ensuring timely resolution, proper documentation, and effective escalation aligned with risk and service standards.
  • Partner with Compliance/Legal/Risk to maintain alignment with regulatory expectations and internal policies; support audits, control testing, and evidence production as required.
  • Drive process improvements and automation initiatives to enhance efficiency, reduce operational risk, and improve transparency for FX and foreign trade workflows.
  • Support testing and implementation of regulatory-driven changes (e.g., UAT, regression testing, production readiness), coordinating with Technology and business stakeholders.

Required qualifications, capabilities, and skills

  • Experience in a bank Foreign Trade / Trade Finance (Comercio Exterior) environment supporting cross-border transaction processing and related operational controls.
  • Experience with foreign trade and cross-border regulatory requirements in Argentina, including understanding of applicable trade/FX documentation, reporting obligations, and operational controls in a banking environment.
  • Working knowledge of FX controls and FX regulatory requirements (Argentina), including handling and validation of FX-related documentation, monitoring regulatory-driven changes, and ensuring operational processes remain compliant.
  • Ability to manage impacts from FX regulatory changes on trade lifecycle and cash movement workflows, including updating procedures, coordinating with Compliance/Legal, and supporting testing/implementation of required process or system changes.
  • Strong analytical and problem-solving skills with the ability to handle complex exceptions, identify root causes, and propose sustainable remediation.
  • Strong stakeholder management skills, including clear written/verbal communication and ability to influence across Operations, Front Office, Treasury, Compliance, Legal, Risk, and Technology.
  • Strong skills with Microsoft Office products (Word, Excel, PowerPoint).

Preferred qualifications, capabilities, and skills

  • Experience driving automation, controls strengthening, or process reengineering within foreign trade / FX operations.
  • Familiarity with end-to-end cash positioning/forecasting and reconciliation processes linked to cross-border and FX flows.
  • Experience supporting audits, regulatory exams, and operational risk governance for FX and foreign trade activities.

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关于JPMorgan Chase

JPMorgan Chase

JPMorgan Chase & Co. is an American multinational banking institution headquartered in New York City and incorporated in Delaware. It is the largest bank in the United States, and the world's largest bank by market capitalization as of 2025.

300,000+

员工数

New York City

总部位置

$500B

企业估值

评价

10条评价

3.8

10条评价

工作生活平衡

3.5

薪酬

4.0

企业文化

3.8

职业发展

3.2

管理层

2.8

68%

推荐率

优点

Good benefits and compensation

Supportive colleagues and environment

Flexible work arrangements

缺点

Long hours and heavy workload

Management issues and lack of direction

High stress and expectations

薪资范围

44个数据点

Analyst

Junior/L3

Mid/L4

Senior/L5

Analyst · Analyst, Investment Banking

6份报告

$126,500

年薪总额

基本工资

$110,000

股票

-

奖金

-

$103,500

$201,250

面试评价

4条评价

难度

3.0

/ 5

时长

14-28周

录用率

50%

体验

正面 25%

中性 75%

负面 0%

面试流程

1

Application Review

2

HR Screen

3

Hiring Manager Interview

4

In-person/Final Interview

5

Offer

常见问题

Behavioral/STAR

Past Experience

Culture Fit

Financial Knowledge

Case Study