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Treasury Chief Investment Office Product Control - Senior Analyst

JP Morgan Chase

Finance Jobs

Treasury Chief Investment Office Product Control - Senior Analyst

full-timePosted: Nov 24, 2025

Job Description

Treasury Chief Investment Office Product Control - Senior Analyst

Location: Warszawa, Mazowieckie, Poland

Job Family: Product Control

About the Role

At JPMorgan Chase, we are at the forefront of financial innovation, and our Treasury Chief Investment Office plays a pivotal role in managing the firm's liquidity, funding, and investment strategies to support global operations. As a Senior Analyst in Product Control, you will join an operational team in Warsaw, Poland, focused on executing robust middle office processes that ensure accurate financial reporting, risk mitigation, and compliance across our treasury portfolios. This role offers a unique opportunity to contribute to high-impact activities within one of the world's largest financial institutions, where your work directly influences decision-making for investment products ranging from fixed income securities to derivatives. In this position, you will be responsible for a range of critical tasks, including daily P&L reconciliation, independent price verification, and the analysis of investment performance metrics. Collaborating closely with front office traders, operations specialists, and senior finance leaders, you will help identify and resolve discrepancies, implement control enhancements, and support the development of automated reporting tools. Your analytical expertise will be essential in navigating complex market dynamics and regulatory landscapes, such as IFRS 9 and Dodd-Frank requirements, ensuring that JPMorgan Chase maintains its reputation for operational excellence and transparency in the financial services industry. We value professionals who thrive in dynamic environments and are passionate about the intersection of finance and technology. This role not only provides exposure to cutting-edge treasury management practices but also offers pathways for career growth within JPMorgan's global network. If you are detail-oriented, proactive, and eager to make a tangible impact on our firm's financial integrity, join us in Warsaw to advance your career in product control.

Key Responsibilities

  • Support the execution of middle office processes for the Treasury Chief Investment Office, including trade validation, profit and loss (P&L) reconciliation, and position reporting
  • Perform daily and monthly product control tasks, such as independent price verification (IPV), valuation adjustments, and financial statement preparation
  • Analyze investment portfolio performance, identify discrepancies, and ensure compliance with internal controls and regulatory standards
  • Collaborate with front office, operations, and finance teams to resolve issues and enhance process efficiency
  • Develop and maintain financial models to support forecasting, scenario analysis, and risk assessment for treasury products
  • Monitor market data and external factors impacting investment strategies, providing insights to senior management
  • Contribute to the implementation of new control frameworks and automation initiatives to improve operational resilience
  • Prepare ad-hoc reports and presentations on product control metrics for stakeholders within JPMorgan Chase
  • Ensure accurate booking and recording of transactions in alignment with JPMorgan's global accounting policies

Required Qualifications

  • Bachelor's degree in Finance, Accounting, Economics, or a related field
  • Minimum of 3-5 years of experience in product control, financial reporting, or middle office operations within the financial services industry
  • Strong understanding of treasury products, investment portfolios, and risk management principles
  • Proficiency in financial modeling and data analysis using tools like Excel or SQL
  • Knowledge of regulatory requirements such as IFRS, GAAP, and Basel III
  • Excellent analytical skills with attention to detail and accuracy in handling complex financial data
  • Ability to work in a fast-paced, high-pressure environment with tight deadlines

Preferred Qualifications

  • Advanced degree (MBA or Master's in Finance) or professional certifications like CPA, CFA, or FRM
  • Experience in treasury or chief investment office functions at a major financial institution
  • Familiarity with JPMorgan Chase's internal systems and processes
  • Prior exposure to fixed income, derivatives, or asset management products
  • Fluency in English and Polish, with strong communication skills for cross-functional collaboration

Required Skills

  • Financial analysis and modeling
  • Data reconciliation and validation
  • Proficiency in Microsoft Excel and VBA
  • SQL for database querying
  • Knowledge of financial instruments (bonds, derivatives, FX)
  • Regulatory compliance and reporting
  • Risk assessment and management
  • Attention to detail and accuracy
  • Problem-solving and critical thinking
  • Strong communication (written and verbal)
  • Team collaboration and stakeholder management
  • Time management in deadline-driven environments
  • Adaptability to changing market conditions
  • Analytical mindset for complex data interpretation
  • Basic understanding of Python or other scripting languages for automation

Benefits

  • Competitive base salary and performance-based annual bonuses
  • Comprehensive health, dental, and vision insurance coverage
  • Retirement savings plan with generous company matching contributions
  • Paid time off including vacation, sick leave, and parental leave
  • Professional development opportunities through JPMorgan's internal training programs and tuition reimbursement
  • Employee stock purchase plan and financial wellness resources
  • Flexible work arrangements, including hybrid options in Warsaw
  • Access to global mobility programs and career advancement within JPMorgan Chase

JP Morgan Chase is an equal opportunity employer.

Locations

  • Warszawa, PL

Salary

Estimated Salary Rangemedium confidence

90,000 - 130,000 USD / yearly

Source: ai estimated

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

Skills Required

  • Financial analysis and modelingintermediate
  • Data reconciliation and validationintermediate
  • Proficiency in Microsoft Excel and VBAintermediate
  • SQL for database queryingintermediate
  • Knowledge of financial instruments (bonds, derivatives, FX)intermediate
  • Regulatory compliance and reportingintermediate
  • Risk assessment and managementintermediate
  • Attention to detail and accuracyintermediate
  • Problem-solving and critical thinkingintermediate
  • Strong communication (written and verbal)intermediate
  • Team collaboration and stakeholder managementintermediate
  • Time management in deadline-driven environmentsintermediate
  • Adaptability to changing market conditionsintermediate
  • Analytical mindset for complex data interpretationintermediate
  • Basic understanding of Python or other scripting languages for automationintermediate

Required Qualifications

  • Bachelor's degree in Finance, Accounting, Economics, or a related field (experience)
  • Minimum of 3-5 years of experience in product control, financial reporting, or middle office operations within the financial services industry (experience)
  • Strong understanding of treasury products, investment portfolios, and risk management principles (experience)
  • Proficiency in financial modeling and data analysis using tools like Excel or SQL (experience)
  • Knowledge of regulatory requirements such as IFRS, GAAP, and Basel III (experience)
  • Excellent analytical skills with attention to detail and accuracy in handling complex financial data (experience)
  • Ability to work in a fast-paced, high-pressure environment with tight deadlines (experience)

Preferred Qualifications

  • Advanced degree (MBA or Master's in Finance) or professional certifications like CPA, CFA, or FRM (experience)
  • Experience in treasury or chief investment office functions at a major financial institution (experience)
  • Familiarity with JPMorgan Chase's internal systems and processes (experience)
  • Prior exposure to fixed income, derivatives, or asset management products (experience)
  • Fluency in English and Polish, with strong communication skills for cross-functional collaboration (experience)

Responsibilities

  • Support the execution of middle office processes for the Treasury Chief Investment Office, including trade validation, profit and loss (P&L) reconciliation, and position reporting
  • Perform daily and monthly product control tasks, such as independent price verification (IPV), valuation adjustments, and financial statement preparation
  • Analyze investment portfolio performance, identify discrepancies, and ensure compliance with internal controls and regulatory standards
  • Collaborate with front office, operations, and finance teams to resolve issues and enhance process efficiency
  • Develop and maintain financial models to support forecasting, scenario analysis, and risk assessment for treasury products
  • Monitor market data and external factors impacting investment strategies, providing insights to senior management
  • Contribute to the implementation of new control frameworks and automation initiatives to improve operational resilience
  • Prepare ad-hoc reports and presentations on product control metrics for stakeholders within JPMorgan Chase
  • Ensure accurate booking and recording of transactions in alignment with JPMorgan's global accounting policies

Benefits

  • general: Competitive base salary and performance-based annual bonuses
  • general: Comprehensive health, dental, and vision insurance coverage
  • general: Retirement savings plan with generous company matching contributions
  • general: Paid time off including vacation, sick leave, and parental leave
  • general: Professional development opportunities through JPMorgan's internal training programs and tuition reimbursement
  • general: Employee stock purchase plan and financial wellness resources
  • general: Flexible work arrangements, including hybrid options in Warsaw
  • general: Access to global mobility programs and career advancement within JPMorgan Chase

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JP Morgan Chase logo

Treasury Chief Investment Office Product Control - Senior Analyst

JP Morgan Chase

Finance Jobs

Treasury Chief Investment Office Product Control - Senior Analyst

full-timePosted: Nov 24, 2025

Job Description

Treasury Chief Investment Office Product Control - Senior Analyst

Location: Warszawa, Mazowieckie, Poland

Job Family: Product Control

About the Role

At JPMorgan Chase, we are at the forefront of financial innovation, and our Treasury Chief Investment Office plays a pivotal role in managing the firm's liquidity, funding, and investment strategies to support global operations. As a Senior Analyst in Product Control, you will join an operational team in Warsaw, Poland, focused on executing robust middle office processes that ensure accurate financial reporting, risk mitigation, and compliance across our treasury portfolios. This role offers a unique opportunity to contribute to high-impact activities within one of the world's largest financial institutions, where your work directly influences decision-making for investment products ranging from fixed income securities to derivatives. In this position, you will be responsible for a range of critical tasks, including daily P&L reconciliation, independent price verification, and the analysis of investment performance metrics. Collaborating closely with front office traders, operations specialists, and senior finance leaders, you will help identify and resolve discrepancies, implement control enhancements, and support the development of automated reporting tools. Your analytical expertise will be essential in navigating complex market dynamics and regulatory landscapes, such as IFRS 9 and Dodd-Frank requirements, ensuring that JPMorgan Chase maintains its reputation for operational excellence and transparency in the financial services industry. We value professionals who thrive in dynamic environments and are passionate about the intersection of finance and technology. This role not only provides exposure to cutting-edge treasury management practices but also offers pathways for career growth within JPMorgan's global network. If you are detail-oriented, proactive, and eager to make a tangible impact on our firm's financial integrity, join us in Warsaw to advance your career in product control.

Key Responsibilities

  • Support the execution of middle office processes for the Treasury Chief Investment Office, including trade validation, profit and loss (P&L) reconciliation, and position reporting
  • Perform daily and monthly product control tasks, such as independent price verification (IPV), valuation adjustments, and financial statement preparation
  • Analyze investment portfolio performance, identify discrepancies, and ensure compliance with internal controls and regulatory standards
  • Collaborate with front office, operations, and finance teams to resolve issues and enhance process efficiency
  • Develop and maintain financial models to support forecasting, scenario analysis, and risk assessment for treasury products
  • Monitor market data and external factors impacting investment strategies, providing insights to senior management
  • Contribute to the implementation of new control frameworks and automation initiatives to improve operational resilience
  • Prepare ad-hoc reports and presentations on product control metrics for stakeholders within JPMorgan Chase
  • Ensure accurate booking and recording of transactions in alignment with JPMorgan's global accounting policies

Required Qualifications

  • Bachelor's degree in Finance, Accounting, Economics, or a related field
  • Minimum of 3-5 years of experience in product control, financial reporting, or middle office operations within the financial services industry
  • Strong understanding of treasury products, investment portfolios, and risk management principles
  • Proficiency in financial modeling and data analysis using tools like Excel or SQL
  • Knowledge of regulatory requirements such as IFRS, GAAP, and Basel III
  • Excellent analytical skills with attention to detail and accuracy in handling complex financial data
  • Ability to work in a fast-paced, high-pressure environment with tight deadlines

Preferred Qualifications

  • Advanced degree (MBA or Master's in Finance) or professional certifications like CPA, CFA, or FRM
  • Experience in treasury or chief investment office functions at a major financial institution
  • Familiarity with JPMorgan Chase's internal systems and processes
  • Prior exposure to fixed income, derivatives, or asset management products
  • Fluency in English and Polish, with strong communication skills for cross-functional collaboration

Required Skills

  • Financial analysis and modeling
  • Data reconciliation and validation
  • Proficiency in Microsoft Excel and VBA
  • SQL for database querying
  • Knowledge of financial instruments (bonds, derivatives, FX)
  • Regulatory compliance and reporting
  • Risk assessment and management
  • Attention to detail and accuracy
  • Problem-solving and critical thinking
  • Strong communication (written and verbal)
  • Team collaboration and stakeholder management
  • Time management in deadline-driven environments
  • Adaptability to changing market conditions
  • Analytical mindset for complex data interpretation
  • Basic understanding of Python or other scripting languages for automation

Benefits

  • Competitive base salary and performance-based annual bonuses
  • Comprehensive health, dental, and vision insurance coverage
  • Retirement savings plan with generous company matching contributions
  • Paid time off including vacation, sick leave, and parental leave
  • Professional development opportunities through JPMorgan's internal training programs and tuition reimbursement
  • Employee stock purchase plan and financial wellness resources
  • Flexible work arrangements, including hybrid options in Warsaw
  • Access to global mobility programs and career advancement within JPMorgan Chase

JP Morgan Chase is an equal opportunity employer.

Locations

  • Warszawa, PL

Salary

Estimated Salary Rangemedium confidence

90,000 - 130,000 USD / yearly

Source: ai estimated

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

Skills Required

  • Financial analysis and modelingintermediate
  • Data reconciliation and validationintermediate
  • Proficiency in Microsoft Excel and VBAintermediate
  • SQL for database queryingintermediate
  • Knowledge of financial instruments (bonds, derivatives, FX)intermediate
  • Regulatory compliance and reportingintermediate
  • Risk assessment and managementintermediate
  • Attention to detail and accuracyintermediate
  • Problem-solving and critical thinkingintermediate
  • Strong communication (written and verbal)intermediate
  • Team collaboration and stakeholder managementintermediate
  • Time management in deadline-driven environmentsintermediate
  • Adaptability to changing market conditionsintermediate
  • Analytical mindset for complex data interpretationintermediate
  • Basic understanding of Python or other scripting languages for automationintermediate

Required Qualifications

  • Bachelor's degree in Finance, Accounting, Economics, or a related field (experience)
  • Minimum of 3-5 years of experience in product control, financial reporting, or middle office operations within the financial services industry (experience)
  • Strong understanding of treasury products, investment portfolios, and risk management principles (experience)
  • Proficiency in financial modeling and data analysis using tools like Excel or SQL (experience)
  • Knowledge of regulatory requirements such as IFRS, GAAP, and Basel III (experience)
  • Excellent analytical skills with attention to detail and accuracy in handling complex financial data (experience)
  • Ability to work in a fast-paced, high-pressure environment with tight deadlines (experience)

Preferred Qualifications

  • Advanced degree (MBA or Master's in Finance) or professional certifications like CPA, CFA, or FRM (experience)
  • Experience in treasury or chief investment office functions at a major financial institution (experience)
  • Familiarity with JPMorgan Chase's internal systems and processes (experience)
  • Prior exposure to fixed income, derivatives, or asset management products (experience)
  • Fluency in English and Polish, with strong communication skills for cross-functional collaboration (experience)

Responsibilities

  • Support the execution of middle office processes for the Treasury Chief Investment Office, including trade validation, profit and loss (P&L) reconciliation, and position reporting
  • Perform daily and monthly product control tasks, such as independent price verification (IPV), valuation adjustments, and financial statement preparation
  • Analyze investment portfolio performance, identify discrepancies, and ensure compliance with internal controls and regulatory standards
  • Collaborate with front office, operations, and finance teams to resolve issues and enhance process efficiency
  • Develop and maintain financial models to support forecasting, scenario analysis, and risk assessment for treasury products
  • Monitor market data and external factors impacting investment strategies, providing insights to senior management
  • Contribute to the implementation of new control frameworks and automation initiatives to improve operational resilience
  • Prepare ad-hoc reports and presentations on product control metrics for stakeholders within JPMorgan Chase
  • Ensure accurate booking and recording of transactions in alignment with JPMorgan's global accounting policies

Benefits

  • general: Competitive base salary and performance-based annual bonuses
  • general: Comprehensive health, dental, and vision insurance coverage
  • general: Retirement savings plan with generous company matching contributions
  • general: Paid time off including vacation, sick leave, and parental leave
  • general: Professional development opportunities through JPMorgan's internal training programs and tuition reimbursement
  • general: Employee stock purchase plan and financial wellness resources
  • general: Flexible work arrangements, including hybrid options in Warsaw
  • general: Access to global mobility programs and career advancement within JPMorgan Chase

Target Your Resume for "Treasury Chief Investment Office Product Control - Senior Analyst" , JP Morgan Chase

Get personalized recommendations to optimize your resume specifically for Treasury Chief Investment Office Product Control - Senior Analyst. Takes only 15 seconds!

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

Check Your ATS Score for "Treasury Chief Investment Office Product Control - Senior Analyst" , 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

Product ControlFinancial ServicesBankingJP MorganProduct Control

Answer 10 quick questions to check your fit for Treasury Chief Investment Office Product Control - Senior Analyst @ JP Morgan Chase.

Quiz Challenge
10 Questions
~2 Minutes
Instant Score

Related Books and Jobs

No related jobs found at the moment.