Join our team at JPMorganChase, where you'll play a crucial role in managing the pre- and post-trading life cycle operations. Your focus on cash movements, funding coordination, and process improvements will be key to enhancing operational efficiency and driving success.
As a Trade Lifecycle Analyst within JPMorganChase, you will play a pivotal role in managing the operations of pre- and post-trading life cycles across all asset classes, with a primary focus on cash movements in and out of client accounts and preparing funding for managed demand deposit accounts. You will coordinate with other business lines to ensure proper funding, applying your knowledge of trade lifecycle processes to identify and resolve issues while contributing to process improvements and automation initiatives. Your success will depend on your ability to actively listen, ask insightful questions, and establish productive relationships with internal stakeholders, as well as manage projects and influence outcomes. You will have the opportunity to develop your understanding of market products and emerging technologies, directly impacting the team's goals and performance. Regular guidance and support from more experienced professionals will help you grow in your role.
Job responsibilities
Ensure timely settlement of trades, investigate and resolve trade-related breaks in accordance with the established work practices and procedures
Pre-matching of trades for Global markets by interacting with agent banks and brokers across the globe
Working with various internal teams such as trade processing, pre-matching, settlements, cash processing, account opening and asset servicing to process transactions and resolve any exceptions on a timely manner.
Respond to and resolve client inquiries on a timely manner
Perform root cause analysis for their respective clients to increase STP and reduce client inquiries.
Establish and maintain relationships with operations & middle office contacts at clients.
Partner with client service teams to help change client behavior where required to remove manual processes.
Strong understanding of Risk Management and should be able to manage the issues exceptions above materiality thresholds for resolution
Ensure all day to day queries dealt with within required SLAs and escalate issues to the team leader.
Provide operations subject matter expertise and value added services to clients where required.
Maintain the highest individual and team standards for quality assurance as it relates to all investor or fund activity / changes
Required Qualifications, Skills and Capabilities:
Bachelor’s degree required
Minimum 3 years in Financial Services industry
Extensive working knowledge of Microsoft Office products including Word, Excel (vlookups, etc.), and Outlook
Subject matter expertise in Equities, Fixed Income, FX, Collateral, Derivatives
Excellent prior custody & fund services, markets or prime brokerage operational experience
Preferred Qualifications, Skills and Capabilities:
Preferably in custody & fund services, markets or prime brokerage space
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