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Liquidity and Treasury Controller- Senior Associate

JP Morgan Chase

Finance Jobs

Liquidity and Treasury Controller- Senior Associate

full-timePosted: Dec 8, 2025

Job Description

Liquidity and Treasury Controller- Senior Associate

Location: LONDON, LONDON, United Kingdom

Job Family: Controller

About the Role

At JP Morgan Chase, we are a leading global financial services firm with a proud history of innovation and client-focused solutions. The Liquidity and Treasury Controller - Senior Associate role within our EMEA Treasury team in London is pivotal in driving the accuracy and integrity of liquidity reporting. As part of a dynamic and collaborative group, you will play a key role in safeguarding the firm's financial health by overseeing treasury controls, ensuring compliance with stringent regulatory frameworks like Basel III, and supporting strategic decision-making for our operations across Europe, the Middle East, and Africa. This position offers the opportunity to work in a high-impact environment at the heart of global finance, contributing to JP Morgan's commitment to excellence in treasury management. In this role, you will be responsible for preparing comprehensive liquidity reports, monitoring cash flows, and implementing robust controls to mitigate risks. You will collaborate closely with treasury analysts, finance leaders, and compliance teams to deliver timely insights that inform business strategies. Additionally, you will contribute to process enhancements, leveraging technology to streamline reporting and adapt to evolving market conditions. Your work will directly support JP Morgan Chase's reputation as a trusted partner in the financial services industry, where precision and foresight are paramount. We seek a proactive professional with a strong background in financial controlling and a passion for the complexities of international treasury operations. Joining JP Morgan Chase means becoming part of a supportive culture that values diversity, professional growth, and work-life balance. This Senior Associate position in London provides a platform to advance your career while making a meaningful impact on one of the world's most influential financial institutions.

Key Responsibilities

  • Prepare and analyze daily, weekly, and monthly liquidity reports for EMEA Treasury operations to ensure compliance and accuracy
  • Collaborate with cross-functional teams to maintain financial integrity and support strategic treasury decisions at JP Morgan Chase
  • Monitor liquidity positions, forecast cash flows, and identify potential risks in the EMEA region
  • Develop and implement controls for treasury reporting processes, ensuring adherence to internal policies and regulatory standards
  • Assist in the preparation of management information and ad-hoc reporting for senior leadership in London
  • Conduct reconciliations of treasury accounts and resolve discrepancies to uphold data accuracy
  • Support audit processes and respond to regulatory inquiries related to liquidity and treasury functions
  • Contribute to process improvements and automation initiatives within the treasury control framework
  • Liaise with global treasury teams to align EMEA activities with JP Morgan's worldwide standards
  • Stay updated on evolving financial regulations and integrate changes into reporting practices

Required Qualifications

  • Bachelor's degree in Finance, Accounting, Economics, or a related field
  • Minimum of 5 years of experience in liquidity management, treasury operations, or financial controlling within the financial services industry
  • Professional certification such as CPA, ACCA, or CIMA
  • Strong understanding of regulatory requirements for liquidity reporting in EMEA, including Basel III and EBA guidelines
  • Proven experience with financial reporting systems and tools used in large-scale banking environments
  • Ability to work in a fast-paced, international team environment in London
  • Fluency in English; additional European languages are advantageous

Preferred Qualifications

  • Advanced degree (Master's or MBA) in Finance or related discipline
  • Experience at a major global bank like JP Morgan Chase or similar institution
  • Knowledge of JP Morgan's internal treasury systems and processes
  • Prior involvement in EMEA-specific treasury projects or audits
  • Familiarity with IFRS and US GAAP accounting standards

Required Skills

  • Expertise in liquidity risk management and treasury reporting
  • Proficiency in financial modeling and forecasting using Excel and VBA
  • Knowledge of treasury management systems like Kyriba or Quantum
  • Strong analytical and problem-solving abilities
  • Excellent attention to detail for accurate financial data handling
  • Effective communication skills for stakeholder interactions
  • Regulatory compliance acumen in banking and finance
  • Experience with data visualization tools such as Tableau or Power BI
  • Project management skills for process improvement initiatives
  • Adaptability to dynamic regulatory and market environments
  • Team collaboration in multicultural settings
  • Technical proficiency in SQL for data querying
  • Risk assessment and mitigation expertise
  • Time management for meeting tight reporting deadlines
  • Interpersonal skills for building relationships across EMEA teams

Benefits

  • Competitive base salary and performance-based annual bonus
  • Comprehensive health, dental, and vision insurance coverage
  • Generous 401(k) matching and pension contributions
  • Paid time off including vacation, sick leave, and parental leave
  • Professional development opportunities through JP Morgan's internal training programs
  • Employee assistance programs for wellness and financial planning
  • Hybrid work model with flexibility in the London office
  • Access to exclusive employee discounts and perks through JP Morgan's benefits portal

JP Morgan Chase is an equal opportunity employer.

Locations

  • LONDON, GB

Salary

Estimated Salary Rangehigh confidence

90,000 - 150,000 USD / yearly

Source: ai estimated

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

Skills Required

  • Expertise in liquidity risk management and treasury reportingintermediate
  • Proficiency in financial modeling and forecasting using Excel and VBAintermediate
  • Knowledge of treasury management systems like Kyriba or Quantumintermediate
  • Strong analytical and problem-solving abilitiesintermediate
  • Excellent attention to detail for accurate financial data handlingintermediate
  • Effective communication skills for stakeholder interactionsintermediate
  • Regulatory compliance acumen in banking and financeintermediate
  • Experience with data visualization tools such as Tableau or Power BIintermediate
  • Project management skills for process improvement initiativesintermediate
  • Adaptability to dynamic regulatory and market environmentsintermediate
  • Team collaboration in multicultural settingsintermediate
  • Technical proficiency in SQL for data queryingintermediate
  • Risk assessment and mitigation expertiseintermediate
  • Time management for meeting tight reporting deadlinesintermediate
  • Interpersonal skills for building relationships across EMEA teamsintermediate

Required Qualifications

  • Bachelor's degree in Finance, Accounting, Economics, or a related field (experience)
  • Minimum of 5 years of experience in liquidity management, treasury operations, or financial controlling within the financial services industry (experience)
  • Professional certification such as CPA, ACCA, or CIMA (experience)
  • Strong understanding of regulatory requirements for liquidity reporting in EMEA, including Basel III and EBA guidelines (experience)
  • Proven experience with financial reporting systems and tools used in large-scale banking environments (experience)
  • Ability to work in a fast-paced, international team environment in London (experience)
  • Fluency in English; additional European languages are advantageous (experience)

Preferred Qualifications

  • Advanced degree (Master's or MBA) in Finance or related discipline (experience)
  • Experience at a major global bank like JP Morgan Chase or similar institution (experience)
  • Knowledge of JP Morgan's internal treasury systems and processes (experience)
  • Prior involvement in EMEA-specific treasury projects or audits (experience)
  • Familiarity with IFRS and US GAAP accounting standards (experience)

Responsibilities

  • Prepare and analyze daily, weekly, and monthly liquidity reports for EMEA Treasury operations to ensure compliance and accuracy
  • Collaborate with cross-functional teams to maintain financial integrity and support strategic treasury decisions at JP Morgan Chase
  • Monitor liquidity positions, forecast cash flows, and identify potential risks in the EMEA region
  • Develop and implement controls for treasury reporting processes, ensuring adherence to internal policies and regulatory standards
  • Assist in the preparation of management information and ad-hoc reporting for senior leadership in London
  • Conduct reconciliations of treasury accounts and resolve discrepancies to uphold data accuracy
  • Support audit processes and respond to regulatory inquiries related to liquidity and treasury functions
  • Contribute to process improvements and automation initiatives within the treasury control framework
  • Liaise with global treasury teams to align EMEA activities with JP Morgan's worldwide standards
  • Stay updated on evolving financial regulations and integrate changes into reporting practices

Benefits

  • general: Competitive base salary and performance-based annual bonus
  • general: Comprehensive health, dental, and vision insurance coverage
  • general: Generous 401(k) matching and pension contributions
  • general: Paid time off including vacation, sick leave, and parental leave
  • general: Professional development opportunities through JP Morgan's internal training programs
  • general: Employee assistance programs for wellness and financial planning
  • general: Hybrid work model with flexibility in the London office
  • general: Access to exclusive employee discounts and perks through JP Morgan's benefits portal

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JP Morgan Chase logo

Liquidity and Treasury Controller- Senior Associate

JP Morgan Chase

Finance Jobs

Liquidity and Treasury Controller- Senior Associate

full-timePosted: Dec 8, 2025

Job Description

Liquidity and Treasury Controller- Senior Associate

Location: LONDON, LONDON, United Kingdom

Job Family: Controller

About the Role

At JP Morgan Chase, we are a leading global financial services firm with a proud history of innovation and client-focused solutions. The Liquidity and Treasury Controller - Senior Associate role within our EMEA Treasury team in London is pivotal in driving the accuracy and integrity of liquidity reporting. As part of a dynamic and collaborative group, you will play a key role in safeguarding the firm's financial health by overseeing treasury controls, ensuring compliance with stringent regulatory frameworks like Basel III, and supporting strategic decision-making for our operations across Europe, the Middle East, and Africa. This position offers the opportunity to work in a high-impact environment at the heart of global finance, contributing to JP Morgan's commitment to excellence in treasury management. In this role, you will be responsible for preparing comprehensive liquidity reports, monitoring cash flows, and implementing robust controls to mitigate risks. You will collaborate closely with treasury analysts, finance leaders, and compliance teams to deliver timely insights that inform business strategies. Additionally, you will contribute to process enhancements, leveraging technology to streamline reporting and adapt to evolving market conditions. Your work will directly support JP Morgan Chase's reputation as a trusted partner in the financial services industry, where precision and foresight are paramount. We seek a proactive professional with a strong background in financial controlling and a passion for the complexities of international treasury operations. Joining JP Morgan Chase means becoming part of a supportive culture that values diversity, professional growth, and work-life balance. This Senior Associate position in London provides a platform to advance your career while making a meaningful impact on one of the world's most influential financial institutions.

Key Responsibilities

  • Prepare and analyze daily, weekly, and monthly liquidity reports for EMEA Treasury operations to ensure compliance and accuracy
  • Collaborate with cross-functional teams to maintain financial integrity and support strategic treasury decisions at JP Morgan Chase
  • Monitor liquidity positions, forecast cash flows, and identify potential risks in the EMEA region
  • Develop and implement controls for treasury reporting processes, ensuring adherence to internal policies and regulatory standards
  • Assist in the preparation of management information and ad-hoc reporting for senior leadership in London
  • Conduct reconciliations of treasury accounts and resolve discrepancies to uphold data accuracy
  • Support audit processes and respond to regulatory inquiries related to liquidity and treasury functions
  • Contribute to process improvements and automation initiatives within the treasury control framework
  • Liaise with global treasury teams to align EMEA activities with JP Morgan's worldwide standards
  • Stay updated on evolving financial regulations and integrate changes into reporting practices

Required Qualifications

  • Bachelor's degree in Finance, Accounting, Economics, or a related field
  • Minimum of 5 years of experience in liquidity management, treasury operations, or financial controlling within the financial services industry
  • Professional certification such as CPA, ACCA, or CIMA
  • Strong understanding of regulatory requirements for liquidity reporting in EMEA, including Basel III and EBA guidelines
  • Proven experience with financial reporting systems and tools used in large-scale banking environments
  • Ability to work in a fast-paced, international team environment in London
  • Fluency in English; additional European languages are advantageous

Preferred Qualifications

  • Advanced degree (Master's or MBA) in Finance or related discipline
  • Experience at a major global bank like JP Morgan Chase or similar institution
  • Knowledge of JP Morgan's internal treasury systems and processes
  • Prior involvement in EMEA-specific treasury projects or audits
  • Familiarity with IFRS and US GAAP accounting standards

Required Skills

  • Expertise in liquidity risk management and treasury reporting
  • Proficiency in financial modeling and forecasting using Excel and VBA
  • Knowledge of treasury management systems like Kyriba or Quantum
  • Strong analytical and problem-solving abilities
  • Excellent attention to detail for accurate financial data handling
  • Effective communication skills for stakeholder interactions
  • Regulatory compliance acumen in banking and finance
  • Experience with data visualization tools such as Tableau or Power BI
  • Project management skills for process improvement initiatives
  • Adaptability to dynamic regulatory and market environments
  • Team collaboration in multicultural settings
  • Technical proficiency in SQL for data querying
  • Risk assessment and mitigation expertise
  • Time management for meeting tight reporting deadlines
  • Interpersonal skills for building relationships across EMEA teams

Benefits

  • Competitive base salary and performance-based annual bonus
  • Comprehensive health, dental, and vision insurance coverage
  • Generous 401(k) matching and pension contributions
  • Paid time off including vacation, sick leave, and parental leave
  • Professional development opportunities through JP Morgan's internal training programs
  • Employee assistance programs for wellness and financial planning
  • Hybrid work model with flexibility in the London office
  • Access to exclusive employee discounts and perks through JP Morgan's benefits portal

JP Morgan Chase is an equal opportunity employer.

Locations

  • LONDON, GB

Salary

Estimated Salary Rangehigh confidence

90,000 - 150,000 USD / yearly

Source: ai estimated

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

Skills Required

  • Expertise in liquidity risk management and treasury reportingintermediate
  • Proficiency in financial modeling and forecasting using Excel and VBAintermediate
  • Knowledge of treasury management systems like Kyriba or Quantumintermediate
  • Strong analytical and problem-solving abilitiesintermediate
  • Excellent attention to detail for accurate financial data handlingintermediate
  • Effective communication skills for stakeholder interactionsintermediate
  • Regulatory compliance acumen in banking and financeintermediate
  • Experience with data visualization tools such as Tableau or Power BIintermediate
  • Project management skills for process improvement initiativesintermediate
  • Adaptability to dynamic regulatory and market environmentsintermediate
  • Team collaboration in multicultural settingsintermediate
  • Technical proficiency in SQL for data queryingintermediate
  • Risk assessment and mitigation expertiseintermediate
  • Time management for meeting tight reporting deadlinesintermediate
  • Interpersonal skills for building relationships across EMEA teamsintermediate

Required Qualifications

  • Bachelor's degree in Finance, Accounting, Economics, or a related field (experience)
  • Minimum of 5 years of experience in liquidity management, treasury operations, or financial controlling within the financial services industry (experience)
  • Professional certification such as CPA, ACCA, or CIMA (experience)
  • Strong understanding of regulatory requirements for liquidity reporting in EMEA, including Basel III and EBA guidelines (experience)
  • Proven experience with financial reporting systems and tools used in large-scale banking environments (experience)
  • Ability to work in a fast-paced, international team environment in London (experience)
  • Fluency in English; additional European languages are advantageous (experience)

Preferred Qualifications

  • Advanced degree (Master's or MBA) in Finance or related discipline (experience)
  • Experience at a major global bank like JP Morgan Chase or similar institution (experience)
  • Knowledge of JP Morgan's internal treasury systems and processes (experience)
  • Prior involvement in EMEA-specific treasury projects or audits (experience)
  • Familiarity with IFRS and US GAAP accounting standards (experience)

Responsibilities

  • Prepare and analyze daily, weekly, and monthly liquidity reports for EMEA Treasury operations to ensure compliance and accuracy
  • Collaborate with cross-functional teams to maintain financial integrity and support strategic treasury decisions at JP Morgan Chase
  • Monitor liquidity positions, forecast cash flows, and identify potential risks in the EMEA region
  • Develop and implement controls for treasury reporting processes, ensuring adherence to internal policies and regulatory standards
  • Assist in the preparation of management information and ad-hoc reporting for senior leadership in London
  • Conduct reconciliations of treasury accounts and resolve discrepancies to uphold data accuracy
  • Support audit processes and respond to regulatory inquiries related to liquidity and treasury functions
  • Contribute to process improvements and automation initiatives within the treasury control framework
  • Liaise with global treasury teams to align EMEA activities with JP Morgan's worldwide standards
  • Stay updated on evolving financial regulations and integrate changes into reporting practices

Benefits

  • general: Competitive base salary and performance-based annual bonus
  • general: Comprehensive health, dental, and vision insurance coverage
  • general: Generous 401(k) matching and pension contributions
  • general: Paid time off including vacation, sick leave, and parental leave
  • general: Professional development opportunities through JP Morgan's internal training programs
  • general: Employee assistance programs for wellness and financial planning
  • general: Hybrid work model with flexibility in the London office
  • general: Access to exclusive employee discounts and perks through JP Morgan's benefits portal

Target Your Resume for "Liquidity and Treasury Controller- Senior Associate" , JP Morgan Chase

Get personalized recommendations to optimize your resume specifically for Liquidity and Treasury Controller- Senior Associate. Takes only 15 seconds!

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

Check Your ATS Score for "Liquidity and Treasury Controller- Senior Associate" , 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

ControllerFinancial ServicesBankingJP MorganController

Answer 10 quick questions to check your fit for Liquidity and Treasury Controller- Senior Associate @ JP Morgan Chase.

Quiz Challenge
10 Questions
~2 Minutes
Instant Score

Related Books and Jobs

No related jobs found at the moment.