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Commercial & Investment Bank Treasury Banking Analytics Liquidity Vice President

JP Morgan Chase

Finance Jobs

Commercial & Investment Bank Treasury Banking Analytics Liquidity Vice President

full-timePosted: Oct 23, 2025

Job Description

Commercial & Investment Bank Treasury Banking Analytics Liquidity Vice President

Location: Brooklyn, NY, United States

Job Family: Treasury

About the Role

JPMorgan Chase & Co. is a leading global financial services firm with assets of $3.9 trillion and operations worldwide. As a Vice President in the Commercial & Investment Bank (CIB) Treasury Banking Analytics Liquidity team, you will play a pivotal role in supporting the treasury functions that ensure the firm's liquidity resilience and funding efficiency. Based in our state-of-the-art office in Brooklyn, NY, this position offers the opportunity to contribute to high-impact analytics that drive strategic decision-making in one of the world's most dynamic banking environments. You will leverage your expertise in liquidity management to help safeguard JP Morgan's position as a trusted partner to corporations, institutions, and governments. In this role, you will develop sophisticated models for liquidity forecasting, perform in-depth stress testing, and analyze intraday and structural liquidity positions across the CIB. Collaborating closely with treasury, risk, and business teams, you will provide insights that inform funding strategies, regulatory compliance, and contingency planning. Your work will directly influence how JP Morgan navigates market volatility, optimizes balance sheet usage, and meets stringent requirements under frameworks like Basel III. This is an intellectually challenging position that demands precision, innovation, and a deep understanding of global financial markets. We seek a proactive professional passionate about financial analytics and treasury operations. At JP Morgan Chase, you will thrive in a collaborative culture that values diverse perspectives and continuous learning. This Vice President role not only offers exposure to senior leadership but also pathways for career advancement within our renowned CIB division. Join us to make a meaningful impact on the future of banking while benefiting from our comprehensive support for professional growth and work-life balance.

Key Responsibilities

  • Develop and maintain advanced liquidity analytics models to support the Commercial & Investment Bank Treasury group's forecasting and risk assessment
  • Conduct stress testing and scenario analysis to ensure compliance with internal liquidity policies and regulatory standards
  • Collaborate with cross-functional teams including risk management, finance, and business lines to optimize liquidity positioning
  • Monitor daily liquidity metrics, intraday funding needs, and balance sheet impacts for the CIB division
  • Prepare detailed reports and presentations on liquidity trends for senior leadership and regulatory submissions
  • Enhance data infrastructure and automation tools to improve the efficiency of liquidity reporting processes
  • Analyze market conditions and their implications on liquidity sources and uses within JP Morgan's global operations
  • Support strategic initiatives related to funding diversification and contingency planning for liquidity events
  • Ensure adherence to JP Morgan's risk management framework and contribute to policy updates
  • Mentor junior analysts and drive innovation in treasury analytics methodologies

Required Qualifications

  • Bachelor's degree in Finance, Economics, Mathematics, or a related quantitative field; Master's degree or MBA preferred
  • Minimum of 5-7 years of experience in treasury, liquidity management, or banking analytics within the financial services industry
  • Strong understanding of regulatory requirements such as Basel III, LCR, and NSFR for liquidity risk management
  • Proficiency in financial modeling and data analysis tools, with experience in liquidity forecasting and stress testing
  • Proven track record in a high-stakes banking environment, ideally at a global financial institution
  • Excellent analytical skills with the ability to interpret complex financial data and provide actionable insights
  • CFA, FRM, or similar professional certification

Preferred Qualifications

  • Experience working in the Commercial & Investment Banking division of a major bank like JP Morgan Chase
  • Advanced knowledge of Python, R, or SQL for large-scale data manipulation and liquidity analytics
  • Prior involvement in liquidity risk reporting for senior management or regulatory bodies
  • Familiarity with JP Morgan's internal treasury systems and processes
  • International experience in cross-border liquidity management

Required Skills

  • Advanced financial modeling and forecasting
  • Liquidity risk analysis and stress testing
  • Proficiency in Excel, VBA, and financial databases
  • Data analytics using SQL, Python, or R
  • Regulatory knowledge (Basel III, LCR, NSFR)
  • Strong quantitative and statistical skills
  • Excellent communication and presentation abilities
  • Project management and cross-functional collaboration
  • Attention to detail and problem-solving mindset
  • Adaptability in a fast-paced financial environment
  • Knowledge of banking products and treasury operations
  • Risk assessment and mitigation techniques
  • Report writing for executive and regulatory audiences
  • Time management and prioritization under pressure
  • Team leadership and mentoring capabilities

Benefits

  • Competitive base salary and performance-based annual bonus
  • Comprehensive health, dental, and vision insurance plans
  • 401(k) retirement savings plan with generous company matching
  • Paid time off, including vacation, sick days, and parental leave
  • Professional development programs and tuition reimbursement for advanced education
  • Employee stock purchase plan and financial wellness resources
  • On-site fitness centers, wellness programs, and mental health support
  • Global mobility opportunities and relocation assistance for qualifying roles

JP Morgan Chase is an equal opportunity employer.

Locations

  • Brooklyn, US

Salary

Estimated Salary Rangehigh confidence

250,000 - 400,000 USD / yearly

Source: ai estimated

* This is an estimated range based on market data and may vary based on experience and qualifications.

Skills Required

  • Advanced financial modeling and forecastingintermediate
  • Liquidity risk analysis and stress testingintermediate
  • Proficiency in Excel, VBA, and financial databasesintermediate
  • Data analytics using SQL, Python, or Rintermediate
  • Regulatory knowledge (Basel III, LCR, NSFR)intermediate
  • Strong quantitative and statistical skillsintermediate
  • Excellent communication and presentation abilitiesintermediate
  • Project management and cross-functional collaborationintermediate
  • Attention to detail and problem-solving mindsetintermediate
  • Adaptability in a fast-paced financial environmentintermediate
  • Knowledge of banking products and treasury operationsintermediate
  • Risk assessment and mitigation techniquesintermediate
  • Report writing for executive and regulatory audiencesintermediate
  • Time management and prioritization under pressureintermediate
  • Team leadership and mentoring capabilitiesintermediate

Required Qualifications

  • Bachelor's degree in Finance, Economics, Mathematics, or a related quantitative field; Master's degree or MBA preferred (experience)
  • Minimum of 5-7 years of experience in treasury, liquidity management, or banking analytics within the financial services industry (experience)
  • Strong understanding of regulatory requirements such as Basel III, LCR, and NSFR for liquidity risk management (experience)
  • Proficiency in financial modeling and data analysis tools, with experience in liquidity forecasting and stress testing (experience)
  • Proven track record in a high-stakes banking environment, ideally at a global financial institution (experience)
  • Excellent analytical skills with the ability to interpret complex financial data and provide actionable insights (experience)
  • CFA, FRM, or similar professional certification (experience)

Preferred Qualifications

  • Experience working in the Commercial & Investment Banking division of a major bank like JP Morgan Chase (experience)
  • Advanced knowledge of Python, R, or SQL for large-scale data manipulation and liquidity analytics (experience)
  • Prior involvement in liquidity risk reporting for senior management or regulatory bodies (experience)
  • Familiarity with JP Morgan's internal treasury systems and processes (experience)
  • International experience in cross-border liquidity management (experience)

Responsibilities

  • Develop and maintain advanced liquidity analytics models to support the Commercial & Investment Bank Treasury group's forecasting and risk assessment
  • Conduct stress testing and scenario analysis to ensure compliance with internal liquidity policies and regulatory standards
  • Collaborate with cross-functional teams including risk management, finance, and business lines to optimize liquidity positioning
  • Monitor daily liquidity metrics, intraday funding needs, and balance sheet impacts for the CIB division
  • Prepare detailed reports and presentations on liquidity trends for senior leadership and regulatory submissions
  • Enhance data infrastructure and automation tools to improve the efficiency of liquidity reporting processes
  • Analyze market conditions and their implications on liquidity sources and uses within JP Morgan's global operations
  • Support strategic initiatives related to funding diversification and contingency planning for liquidity events
  • Ensure adherence to JP Morgan's risk management framework and contribute to policy updates
  • Mentor junior analysts and drive innovation in treasury analytics methodologies

Benefits

  • general: Competitive base salary and performance-based annual bonus
  • general: Comprehensive health, dental, and vision insurance plans
  • general: 401(k) retirement savings plan with generous company matching
  • general: Paid time off, including vacation, sick days, and parental leave
  • general: Professional development programs and tuition reimbursement for advanced education
  • general: Employee stock purchase plan and financial wellness resources
  • general: On-site fitness centers, wellness programs, and mental health support
  • general: Global mobility opportunities and relocation assistance for qualifying roles

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Commercial & Investment Bank Treasury Banking Analytics Liquidity Vice President

JP Morgan Chase

Finance Jobs

Commercial & Investment Bank Treasury Banking Analytics Liquidity Vice President

full-timePosted: Oct 23, 2025

Job Description

Commercial & Investment Bank Treasury Banking Analytics Liquidity Vice President

Location: Brooklyn, NY, United States

Job Family: Treasury

About the Role

JPMorgan Chase & Co. is a leading global financial services firm with assets of $3.9 trillion and operations worldwide. As a Vice President in the Commercial & Investment Bank (CIB) Treasury Banking Analytics Liquidity team, you will play a pivotal role in supporting the treasury functions that ensure the firm's liquidity resilience and funding efficiency. Based in our state-of-the-art office in Brooklyn, NY, this position offers the opportunity to contribute to high-impact analytics that drive strategic decision-making in one of the world's most dynamic banking environments. You will leverage your expertise in liquidity management to help safeguard JP Morgan's position as a trusted partner to corporations, institutions, and governments. In this role, you will develop sophisticated models for liquidity forecasting, perform in-depth stress testing, and analyze intraday and structural liquidity positions across the CIB. Collaborating closely with treasury, risk, and business teams, you will provide insights that inform funding strategies, regulatory compliance, and contingency planning. Your work will directly influence how JP Morgan navigates market volatility, optimizes balance sheet usage, and meets stringent requirements under frameworks like Basel III. This is an intellectually challenging position that demands precision, innovation, and a deep understanding of global financial markets. We seek a proactive professional passionate about financial analytics and treasury operations. At JP Morgan Chase, you will thrive in a collaborative culture that values diverse perspectives and continuous learning. This Vice President role not only offers exposure to senior leadership but also pathways for career advancement within our renowned CIB division. Join us to make a meaningful impact on the future of banking while benefiting from our comprehensive support for professional growth and work-life balance.

Key Responsibilities

  • Develop and maintain advanced liquidity analytics models to support the Commercial & Investment Bank Treasury group's forecasting and risk assessment
  • Conduct stress testing and scenario analysis to ensure compliance with internal liquidity policies and regulatory standards
  • Collaborate with cross-functional teams including risk management, finance, and business lines to optimize liquidity positioning
  • Monitor daily liquidity metrics, intraday funding needs, and balance sheet impacts for the CIB division
  • Prepare detailed reports and presentations on liquidity trends for senior leadership and regulatory submissions
  • Enhance data infrastructure and automation tools to improve the efficiency of liquidity reporting processes
  • Analyze market conditions and their implications on liquidity sources and uses within JP Morgan's global operations
  • Support strategic initiatives related to funding diversification and contingency planning for liquidity events
  • Ensure adherence to JP Morgan's risk management framework and contribute to policy updates
  • Mentor junior analysts and drive innovation in treasury analytics methodologies

Required Qualifications

  • Bachelor's degree in Finance, Economics, Mathematics, or a related quantitative field; Master's degree or MBA preferred
  • Minimum of 5-7 years of experience in treasury, liquidity management, or banking analytics within the financial services industry
  • Strong understanding of regulatory requirements such as Basel III, LCR, and NSFR for liquidity risk management
  • Proficiency in financial modeling and data analysis tools, with experience in liquidity forecasting and stress testing
  • Proven track record in a high-stakes banking environment, ideally at a global financial institution
  • Excellent analytical skills with the ability to interpret complex financial data and provide actionable insights
  • CFA, FRM, or similar professional certification

Preferred Qualifications

  • Experience working in the Commercial & Investment Banking division of a major bank like JP Morgan Chase
  • Advanced knowledge of Python, R, or SQL for large-scale data manipulation and liquidity analytics
  • Prior involvement in liquidity risk reporting for senior management or regulatory bodies
  • Familiarity with JP Morgan's internal treasury systems and processes
  • International experience in cross-border liquidity management

Required Skills

  • Advanced financial modeling and forecasting
  • Liquidity risk analysis and stress testing
  • Proficiency in Excel, VBA, and financial databases
  • Data analytics using SQL, Python, or R
  • Regulatory knowledge (Basel III, LCR, NSFR)
  • Strong quantitative and statistical skills
  • Excellent communication and presentation abilities
  • Project management and cross-functional collaboration
  • Attention to detail and problem-solving mindset
  • Adaptability in a fast-paced financial environment
  • Knowledge of banking products and treasury operations
  • Risk assessment and mitigation techniques
  • Report writing for executive and regulatory audiences
  • Time management and prioritization under pressure
  • Team leadership and mentoring capabilities

Benefits

  • Competitive base salary and performance-based annual bonus
  • Comprehensive health, dental, and vision insurance plans
  • 401(k) retirement savings plan with generous company matching
  • Paid time off, including vacation, sick days, and parental leave
  • Professional development programs and tuition reimbursement for advanced education
  • Employee stock purchase plan and financial wellness resources
  • On-site fitness centers, wellness programs, and mental health support
  • Global mobility opportunities and relocation assistance for qualifying roles

JP Morgan Chase is an equal opportunity employer.

Locations

  • Brooklyn, US

Salary

Estimated Salary Rangehigh confidence

250,000 - 400,000 USD / yearly

Source: ai estimated

* This is an estimated range based on market data and may vary based on experience and qualifications.

Skills Required

  • Advanced financial modeling and forecastingintermediate
  • Liquidity risk analysis and stress testingintermediate
  • Proficiency in Excel, VBA, and financial databasesintermediate
  • Data analytics using SQL, Python, or Rintermediate
  • Regulatory knowledge (Basel III, LCR, NSFR)intermediate
  • Strong quantitative and statistical skillsintermediate
  • Excellent communication and presentation abilitiesintermediate
  • Project management and cross-functional collaborationintermediate
  • Attention to detail and problem-solving mindsetintermediate
  • Adaptability in a fast-paced financial environmentintermediate
  • Knowledge of banking products and treasury operationsintermediate
  • Risk assessment and mitigation techniquesintermediate
  • Report writing for executive and regulatory audiencesintermediate
  • Time management and prioritization under pressureintermediate
  • Team leadership and mentoring capabilitiesintermediate

Required Qualifications

  • Bachelor's degree in Finance, Economics, Mathematics, or a related quantitative field; Master's degree or MBA preferred (experience)
  • Minimum of 5-7 years of experience in treasury, liquidity management, or banking analytics within the financial services industry (experience)
  • Strong understanding of regulatory requirements such as Basel III, LCR, and NSFR for liquidity risk management (experience)
  • Proficiency in financial modeling and data analysis tools, with experience in liquidity forecasting and stress testing (experience)
  • Proven track record in a high-stakes banking environment, ideally at a global financial institution (experience)
  • Excellent analytical skills with the ability to interpret complex financial data and provide actionable insights (experience)
  • CFA, FRM, or similar professional certification (experience)

Preferred Qualifications

  • Experience working in the Commercial & Investment Banking division of a major bank like JP Morgan Chase (experience)
  • Advanced knowledge of Python, R, or SQL for large-scale data manipulation and liquidity analytics (experience)
  • Prior involvement in liquidity risk reporting for senior management or regulatory bodies (experience)
  • Familiarity with JP Morgan's internal treasury systems and processes (experience)
  • International experience in cross-border liquidity management (experience)

Responsibilities

  • Develop and maintain advanced liquidity analytics models to support the Commercial & Investment Bank Treasury group's forecasting and risk assessment
  • Conduct stress testing and scenario analysis to ensure compliance with internal liquidity policies and regulatory standards
  • Collaborate with cross-functional teams including risk management, finance, and business lines to optimize liquidity positioning
  • Monitor daily liquidity metrics, intraday funding needs, and balance sheet impacts for the CIB division
  • Prepare detailed reports and presentations on liquidity trends for senior leadership and regulatory submissions
  • Enhance data infrastructure and automation tools to improve the efficiency of liquidity reporting processes
  • Analyze market conditions and their implications on liquidity sources and uses within JP Morgan's global operations
  • Support strategic initiatives related to funding diversification and contingency planning for liquidity events
  • Ensure adherence to JP Morgan's risk management framework and contribute to policy updates
  • Mentor junior analysts and drive innovation in treasury analytics methodologies

Benefits

  • general: Competitive base salary and performance-based annual bonus
  • general: Comprehensive health, dental, and vision insurance plans
  • general: 401(k) retirement savings plan with generous company matching
  • general: Paid time off, including vacation, sick days, and parental leave
  • general: Professional development programs and tuition reimbursement for advanced education
  • general: Employee stock purchase plan and financial wellness resources
  • general: On-site fitness centers, wellness programs, and mental health support
  • general: Global mobility opportunities and relocation assistance for qualifying roles

Target Your Resume for "Commercial & Investment Bank Treasury Banking Analytics Liquidity Vice President" , JP Morgan Chase

Get personalized recommendations to optimize your resume specifically for Commercial & Investment Bank Treasury Banking Analytics Liquidity Vice President. Takes only 15 seconds!

AI-powered keyword optimization
Skills matching & gap analysis
Experience alignment suggestions

Check Your ATS Score for "Commercial & Investment Bank Treasury Banking Analytics Liquidity Vice President" , JP Morgan Chase

Find out how well your resume matches this job's requirements. Get comprehensive analysis including ATS compatibility, keyword matching, skill gaps, and personalized recommendations.

ATS compatibility check
Keyword optimization analysis
Skill matching & gap identification
Format & readability score

Tags & Categories

TreasuryFinancial ServicesBankingJP MorganTreasury

Answer 10 quick questions to check your fit for Commercial & Investment Bank Treasury Banking Analytics Liquidity Vice President @ JP Morgan Chase.

Quiz Challenge
10 Questions
~2 Minutes
Instant Score

Related Books and Jobs

No related jobs found at the moment.