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JPMorgan Chase
JPMorgan Chase

Global financial services firm

Treasury and Liquidity Management Associate – Buenos Aires

职能财务/会计
级别应届/初级
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

TCIO’s core mandate is to manage Firm’s liquidity, capital, structural interest rate and foreign exchange risks. In addition, it manages the wholesale funding and capital raising activities for the Firm, as well as its daily cash position. The group oversees the funds transfer pricing policies and works closely with the various lines of business in establishing the principles of how funds are valued across the firm.

As a Treasury and Liquidity Management Associate in the Argentina Treasury team, you will work with senior Treasury, Finance and Risk Management professionals and deal with various asset classes and financial/banking products and develop a rich understanding of the Firmwide balance sheet and legal entity profiles across the Latin America region.

Job Responsibilities

  • Contribute to the management of the balance sheet of the Firm’s entities in Argentina, including daily funding actions, liquidity management, funds transfer pricing, banking book interest rate risk, and market risk from TCIO positions

  • Define and monitor legal entity liquidity strategies, policies and guidelines across the LATAM region

  • Analyze and develop an understanding of the liquidity characteristics of various legal entities and Lines of Business (LOBs) assets and liabilities, taking into account legal, regulatory and operational restrictions

  • Manage liquidity within approved liquidity risk appetite tolerances and limits

  • Review and estimate the impact of regulatory changes and new business initiatives on funding and liquidity

  • Maintaining the legal entity Contingency Funding Plans

  • Engage with external regulators in the interpretation and application of regulatory rulings that impact liquidity management and corresponding stress testing

  • Manage intercompany transactions to ensure that the Firm, including various legal entities, meets internal and regulatory liquidity and resolution requirements

  • Review legal entity specific Recovery & Resolution stress testing, analyze liquidity impacts and identify potential liquidity risks

  • Interpret and review compliance with regulatory requirements related to liquidity, including LCR and NSFR reports

  • Assist Legal Entity treasurers and local stakeholders in managing regulatory inquiries related to balance sheet management

  • Review Firmwide and local liquidity stress testing methodologies to ensure their applicability and impact to the region is understood and managed

  • Review the impact of significant transactions, new products, and forecasts thereof on the current and projected liquidity metrics, in partnership with Line of Business Treasurers

  • Be responsible for end-to-end management of the balance sheet of the Firm's entities in Argentina, including daily funding actions, liquidity management, funds transfer pricing, banking book interest rate risk and market risk for TCIO positions

Required Qualifications, Capabilities and Skills

  • Bachelor’s degree in Finance/Accounting/Commerce/Economics required

  • +2 years experience in the banking industry is a plus

  • Knowledge of balance sheet, liquidity concepts, and client franchises to manage activities within global targets, strategy and framework

  • Keen interest in Fixed Income/FX markets. Knowledge of Accounting/Finance a plus

  • Familiarity with bank regulatory capital and liquidity rules, and ability to prepare written presentations and policy documents to a high standard

  • Knowledge of key liquidity metrics for e.g. LCR, NSFR and relevant Basel regulations.

  • Ability to operate in an environment with a high level of scrutiny and be able to interact effectively with the various internal and external stakeholders

  • Excellent presentation skills and the ability to succinctly convey complex issues

  • Strong communication skills and ability to coordinate across various lines of business, legal entities and geographies

  • Ability to work independently with minimal oversight but to also be an effective team member

  • Programming skills a plus

  • Strong skills in MS Excel and Power Point

  • Knowledge of data analytics tools like Tableau/Power BI would be a plus

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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