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Treasury & Chief Investment Office - Vice President

JP Morgan Chase

Finance Jobs

Treasury & Chief Investment Office - Vice President

full-timePosted: Nov 18, 2025

Job Description

Treasury & Chief Investment Office - Vice President

Location: Singapore, Singapore

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, committed to helping clients achieve their ambitions through innovative banking, investment, and asset management solutions. In our Treasury & Chief Investment Office (TCIO), we play a pivotal role in managing the firm's funding, liquidity, and investment strategies to support sustainable growth and risk mitigation. Based in the dynamic financial hub of Singapore, this Vice President position offers the opportunity to contribute to TCIO's mission of optimizing the balance sheet while navigating the complexities of APAC markets. As a key player in a high-impact team, you will drive strategic initiatives that influence JPMorgan Chase's global financial stability. In this role, you will lead the management of funding and liquidity operations, executing sophisticated FX hedges to protect against currency fluctuations, and overseeing IRRBB to ensure resilience against interest rate changes. Your responsibilities will include developing robust forecasting models, conducting in-depth market analysis, and collaborating with investment teams to align treasury activities with broader portfolio objectives. Working closely with senior executives, you will provide actionable insights through comprehensive reporting and scenario analyses, all while adhering to stringent regulatory standards such as those from the Monetary Authority of Singapore (MAS) and global Basel accords. This position demands a blend of technical expertise and strategic foresight to handle the intricacies of multinational treasury functions in a fast-evolving economic landscape. At JPMorgan Chase, we value diverse perspectives and foster an inclusive culture that empowers employees to innovate and excel. Joining TCIO in Singapore means being part of a world-class team that leverages cutting-edge technology and data analytics to deliver superior results. We offer unparalleled opportunities for professional growth, exposure to global markets, and the chance to make a tangible impact on one of the world's most admired financial institutions. If you are a seasoned finance professional passionate about treasury management and ready to elevate your career in the heart of Asia's financial ecosystem, this role at JPMorgan Chase is your next step.

Key Responsibilities

  • Develop and execute funding and liquidity strategies to optimize JPMorgan Chase's balance sheet in the APAC region, ensuring compliance with internal and regulatory requirements
  • Manage foreign exchange (FX) hedging programs to mitigate currency risks associated with global operations and investments
  • Oversee interest rate risk in the banking book (IRRBB) modeling, scenario analysis, and stress testing to safeguard against market volatility
  • Collaborate with the Chief Investment Office to align treasury activities with broader investment objectives and portfolio management
  • Monitor and forecast liquidity positions, recommending actions to maintain optimal funding sources and contingency planning
  • Analyze market trends, interest rates, and FX movements to inform strategic decisions and risk mitigation tactics
  • Prepare and present treasury reports to senior management and regulatory bodies, highlighting key risks and performance metrics
  • Lead initiatives to enhance treasury processes, including automation and integration of advanced analytics tools
  • Ensure adherence to JPMorgan Chase's risk management policies and contribute to firm-wide treasury best practices
  • Mentor junior team members and foster a culture of innovation within the Treasury & Chief Investment Office

Required Qualifications

  • Bachelor's degree in Finance, Economics, Mathematics, or a related quantitative field; advanced degree (MBA, Master's in Finance) preferred
  • Minimum of 7-10 years of experience in treasury, liquidity management, or investment banking within a major financial institution
  • Proven track record in managing funding strategies, FX hedging, and interest rate risk in balance sheet (IRRBB) for large-scale banking operations
  • Strong understanding of global regulatory frameworks such as Basel III, Dodd-Frank, and Singapore's MAS guidelines for liquidity and capital management
  • Experience with financial modeling tools and risk management systems used in treasury functions
  • Ability to thrive in a fast-paced, high-stakes environment with direct exposure to senior leadership
  • Fluency in English; proficiency in Mandarin or other regional languages is advantageous for APAC operations

Preferred Qualifications

  • CFA, FRM, or equivalent certification in finance or risk management
  • Prior experience in the Asia-Pacific treasury markets, particularly in Singapore or Hong Kong
  • Background in executing complex FX derivatives and hedging strategies for multinational banks
  • Familiarity with JPMorgan Chase's proprietary systems for balance sheet management and reporting
  • Leadership experience managing cross-functional teams in a global financial services context

Required Skills

  • Expertise in financial modeling and quantitative analysis using tools like Excel, Python, or MATLAB
  • Deep knowledge of FX markets, derivatives, and hedging instruments
  • Proficiency in liquidity risk management and balance sheet optimization techniques
  • Strong understanding of IRRBB frameworks and interest rate risk modeling
  • Analytical skills for scenario planning and stress testing in volatile markets
  • Regulatory compliance and reporting acumen specific to banking treasury functions
  • Leadership and team management abilities in a collaborative environment
  • Excellent communication skills for stakeholder engagement and presentations
  • Problem-solving prowess in high-pressure financial decision-making
  • Attention to detail in data analysis and risk assessment
  • Adaptability to evolving market conditions and regulatory landscapes
  • Project management skills for implementing treasury initiatives
  • Technical proficiency with treasury management systems (TMS) and Bloomberg terminals
  • Strategic thinking to align treasury operations with business goals
  • Interpersonal skills for cross-regional collaboration in APAC

Benefits

  • Competitive base salary and performance-based annual bonus aligned with JPMorgan Chase's total rewards philosophy
  • Comprehensive health, dental, and vision insurance coverage for employees and eligible dependents
  • Generous retirement savings plan with employer matching contributions to support long-term financial security
  • Paid time off including vacation, sick leave, and parental leave to promote work-life balance
  • Professional development opportunities through JPMorgan Chase's internal training programs and tuition reimbursement
  • Employee stock purchase plan and other financial wellness benefits tailored to the financial services industry
  • Wellness programs including gym memberships, mental health support, and flexible working arrangements in Singapore
  • Global mobility support for career advancement within JPMorgan Chase's international network

JP Morgan Chase is an equal opportunity employer.

Locations

  • Singapore, SG

Salary

Estimated Salary Rangehigh confidence

350,000 - 550,000 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 financial modeling and quantitative analysis using tools like Excel, Python, or MATLABintermediate
  • Deep knowledge of FX markets, derivatives, and hedging instrumentsintermediate
  • Proficiency in liquidity risk management and balance sheet optimization techniquesintermediate
  • Strong understanding of IRRBB frameworks and interest rate risk modelingintermediate
  • Analytical skills for scenario planning and stress testing in volatile marketsintermediate
  • Regulatory compliance and reporting acumen specific to banking treasury functionsintermediate
  • Leadership and team management abilities in a collaborative environmentintermediate
  • Excellent communication skills for stakeholder engagement and presentationsintermediate
  • Problem-solving prowess in high-pressure financial decision-makingintermediate
  • Attention to detail in data analysis and risk assessmentintermediate
  • Adaptability to evolving market conditions and regulatory landscapesintermediate
  • Project management skills for implementing treasury initiativesintermediate
  • Technical proficiency with treasury management systems (TMS) and Bloomberg terminalsintermediate
  • Strategic thinking to align treasury operations with business goalsintermediate
  • Interpersonal skills for cross-regional collaboration in APACintermediate

Required Qualifications

  • Bachelor's degree in Finance, Economics, Mathematics, or a related quantitative field; advanced degree (MBA, Master's in Finance) preferred (experience)
  • Minimum of 7-10 years of experience in treasury, liquidity management, or investment banking within a major financial institution (experience)
  • Proven track record in managing funding strategies, FX hedging, and interest rate risk in balance sheet (IRRBB) for large-scale banking operations (experience)
  • Strong understanding of global regulatory frameworks such as Basel III, Dodd-Frank, and Singapore's MAS guidelines for liquidity and capital management (experience)
  • Experience with financial modeling tools and risk management systems used in treasury functions (experience)
  • Ability to thrive in a fast-paced, high-stakes environment with direct exposure to senior leadership (experience)
  • Fluency in English; proficiency in Mandarin or other regional languages is advantageous for APAC operations (experience)

Preferred Qualifications

  • CFA, FRM, or equivalent certification in finance or risk management (experience)
  • Prior experience in the Asia-Pacific treasury markets, particularly in Singapore or Hong Kong (experience)
  • Background in executing complex FX derivatives and hedging strategies for multinational banks (experience)
  • Familiarity with JPMorgan Chase's proprietary systems for balance sheet management and reporting (experience)
  • Leadership experience managing cross-functional teams in a global financial services context (experience)

Responsibilities

  • Develop and execute funding and liquidity strategies to optimize JPMorgan Chase's balance sheet in the APAC region, ensuring compliance with internal and regulatory requirements
  • Manage foreign exchange (FX) hedging programs to mitigate currency risks associated with global operations and investments
  • Oversee interest rate risk in the banking book (IRRBB) modeling, scenario analysis, and stress testing to safeguard against market volatility
  • Collaborate with the Chief Investment Office to align treasury activities with broader investment objectives and portfolio management
  • Monitor and forecast liquidity positions, recommending actions to maintain optimal funding sources and contingency planning
  • Analyze market trends, interest rates, and FX movements to inform strategic decisions and risk mitigation tactics
  • Prepare and present treasury reports to senior management and regulatory bodies, highlighting key risks and performance metrics
  • Lead initiatives to enhance treasury processes, including automation and integration of advanced analytics tools
  • Ensure adherence to JPMorgan Chase's risk management policies and contribute to firm-wide treasury best practices
  • Mentor junior team members and foster a culture of innovation within the Treasury & Chief Investment Office

Benefits

  • general: Competitive base salary and performance-based annual bonus aligned with JPMorgan Chase's total rewards philosophy
  • general: Comprehensive health, dental, and vision insurance coverage for employees and eligible dependents
  • general: Generous retirement savings plan with employer matching contributions to support long-term financial security
  • general: Paid time off including vacation, sick leave, and parental leave to promote work-life balance
  • general: Professional development opportunities through JPMorgan Chase's internal training programs and tuition reimbursement
  • general: Employee stock purchase plan and other financial wellness benefits tailored to the financial services industry
  • general: Wellness programs including gym memberships, mental health support, and flexible working arrangements in Singapore
  • general: Global mobility support for career advancement within JPMorgan Chase's international network

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JP Morgan Chase logo

Treasury & Chief Investment Office - Vice President

JP Morgan Chase

Finance Jobs

Treasury & Chief Investment Office - Vice President

full-timePosted: Nov 18, 2025

Job Description

Treasury & Chief Investment Office - Vice President

Location: Singapore, Singapore

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, committed to helping clients achieve their ambitions through innovative banking, investment, and asset management solutions. In our Treasury & Chief Investment Office (TCIO), we play a pivotal role in managing the firm's funding, liquidity, and investment strategies to support sustainable growth and risk mitigation. Based in the dynamic financial hub of Singapore, this Vice President position offers the opportunity to contribute to TCIO's mission of optimizing the balance sheet while navigating the complexities of APAC markets. As a key player in a high-impact team, you will drive strategic initiatives that influence JPMorgan Chase's global financial stability. In this role, you will lead the management of funding and liquidity operations, executing sophisticated FX hedges to protect against currency fluctuations, and overseeing IRRBB to ensure resilience against interest rate changes. Your responsibilities will include developing robust forecasting models, conducting in-depth market analysis, and collaborating with investment teams to align treasury activities with broader portfolio objectives. Working closely with senior executives, you will provide actionable insights through comprehensive reporting and scenario analyses, all while adhering to stringent regulatory standards such as those from the Monetary Authority of Singapore (MAS) and global Basel accords. This position demands a blend of technical expertise and strategic foresight to handle the intricacies of multinational treasury functions in a fast-evolving economic landscape. At JPMorgan Chase, we value diverse perspectives and foster an inclusive culture that empowers employees to innovate and excel. Joining TCIO in Singapore means being part of a world-class team that leverages cutting-edge technology and data analytics to deliver superior results. We offer unparalleled opportunities for professional growth, exposure to global markets, and the chance to make a tangible impact on one of the world's most admired financial institutions. If you are a seasoned finance professional passionate about treasury management and ready to elevate your career in the heart of Asia's financial ecosystem, this role at JPMorgan Chase is your next step.

Key Responsibilities

  • Develop and execute funding and liquidity strategies to optimize JPMorgan Chase's balance sheet in the APAC region, ensuring compliance with internal and regulatory requirements
  • Manage foreign exchange (FX) hedging programs to mitigate currency risks associated with global operations and investments
  • Oversee interest rate risk in the banking book (IRRBB) modeling, scenario analysis, and stress testing to safeguard against market volatility
  • Collaborate with the Chief Investment Office to align treasury activities with broader investment objectives and portfolio management
  • Monitor and forecast liquidity positions, recommending actions to maintain optimal funding sources and contingency planning
  • Analyze market trends, interest rates, and FX movements to inform strategic decisions and risk mitigation tactics
  • Prepare and present treasury reports to senior management and regulatory bodies, highlighting key risks and performance metrics
  • Lead initiatives to enhance treasury processes, including automation and integration of advanced analytics tools
  • Ensure adherence to JPMorgan Chase's risk management policies and contribute to firm-wide treasury best practices
  • Mentor junior team members and foster a culture of innovation within the Treasury & Chief Investment Office

Required Qualifications

  • Bachelor's degree in Finance, Economics, Mathematics, or a related quantitative field; advanced degree (MBA, Master's in Finance) preferred
  • Minimum of 7-10 years of experience in treasury, liquidity management, or investment banking within a major financial institution
  • Proven track record in managing funding strategies, FX hedging, and interest rate risk in balance sheet (IRRBB) for large-scale banking operations
  • Strong understanding of global regulatory frameworks such as Basel III, Dodd-Frank, and Singapore's MAS guidelines for liquidity and capital management
  • Experience with financial modeling tools and risk management systems used in treasury functions
  • Ability to thrive in a fast-paced, high-stakes environment with direct exposure to senior leadership
  • Fluency in English; proficiency in Mandarin or other regional languages is advantageous for APAC operations

Preferred Qualifications

  • CFA, FRM, or equivalent certification in finance or risk management
  • Prior experience in the Asia-Pacific treasury markets, particularly in Singapore or Hong Kong
  • Background in executing complex FX derivatives and hedging strategies for multinational banks
  • Familiarity with JPMorgan Chase's proprietary systems for balance sheet management and reporting
  • Leadership experience managing cross-functional teams in a global financial services context

Required Skills

  • Expertise in financial modeling and quantitative analysis using tools like Excel, Python, or MATLAB
  • Deep knowledge of FX markets, derivatives, and hedging instruments
  • Proficiency in liquidity risk management and balance sheet optimization techniques
  • Strong understanding of IRRBB frameworks and interest rate risk modeling
  • Analytical skills for scenario planning and stress testing in volatile markets
  • Regulatory compliance and reporting acumen specific to banking treasury functions
  • Leadership and team management abilities in a collaborative environment
  • Excellent communication skills for stakeholder engagement and presentations
  • Problem-solving prowess in high-pressure financial decision-making
  • Attention to detail in data analysis and risk assessment
  • Adaptability to evolving market conditions and regulatory landscapes
  • Project management skills for implementing treasury initiatives
  • Technical proficiency with treasury management systems (TMS) and Bloomberg terminals
  • Strategic thinking to align treasury operations with business goals
  • Interpersonal skills for cross-regional collaboration in APAC

Benefits

  • Competitive base salary and performance-based annual bonus aligned with JPMorgan Chase's total rewards philosophy
  • Comprehensive health, dental, and vision insurance coverage for employees and eligible dependents
  • Generous retirement savings plan with employer matching contributions to support long-term financial security
  • Paid time off including vacation, sick leave, and parental leave to promote work-life balance
  • Professional development opportunities through JPMorgan Chase's internal training programs and tuition reimbursement
  • Employee stock purchase plan and other financial wellness benefits tailored to the financial services industry
  • Wellness programs including gym memberships, mental health support, and flexible working arrangements in Singapore
  • Global mobility support for career advancement within JPMorgan Chase's international network

JP Morgan Chase is an equal opportunity employer.

Locations

  • Singapore, SG

Salary

Estimated Salary Rangehigh confidence

350,000 - 550,000 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 financial modeling and quantitative analysis using tools like Excel, Python, or MATLABintermediate
  • Deep knowledge of FX markets, derivatives, and hedging instrumentsintermediate
  • Proficiency in liquidity risk management and balance sheet optimization techniquesintermediate
  • Strong understanding of IRRBB frameworks and interest rate risk modelingintermediate
  • Analytical skills for scenario planning and stress testing in volatile marketsintermediate
  • Regulatory compliance and reporting acumen specific to banking treasury functionsintermediate
  • Leadership and team management abilities in a collaborative environmentintermediate
  • Excellent communication skills for stakeholder engagement and presentationsintermediate
  • Problem-solving prowess in high-pressure financial decision-makingintermediate
  • Attention to detail in data analysis and risk assessmentintermediate
  • Adaptability to evolving market conditions and regulatory landscapesintermediate
  • Project management skills for implementing treasury initiativesintermediate
  • Technical proficiency with treasury management systems (TMS) and Bloomberg terminalsintermediate
  • Strategic thinking to align treasury operations with business goalsintermediate
  • Interpersonal skills for cross-regional collaboration in APACintermediate

Required Qualifications

  • Bachelor's degree in Finance, Economics, Mathematics, or a related quantitative field; advanced degree (MBA, Master's in Finance) preferred (experience)
  • Minimum of 7-10 years of experience in treasury, liquidity management, or investment banking within a major financial institution (experience)
  • Proven track record in managing funding strategies, FX hedging, and interest rate risk in balance sheet (IRRBB) for large-scale banking operations (experience)
  • Strong understanding of global regulatory frameworks such as Basel III, Dodd-Frank, and Singapore's MAS guidelines for liquidity and capital management (experience)
  • Experience with financial modeling tools and risk management systems used in treasury functions (experience)
  • Ability to thrive in a fast-paced, high-stakes environment with direct exposure to senior leadership (experience)
  • Fluency in English; proficiency in Mandarin or other regional languages is advantageous for APAC operations (experience)

Preferred Qualifications

  • CFA, FRM, or equivalent certification in finance or risk management (experience)
  • Prior experience in the Asia-Pacific treasury markets, particularly in Singapore or Hong Kong (experience)
  • Background in executing complex FX derivatives and hedging strategies for multinational banks (experience)
  • Familiarity with JPMorgan Chase's proprietary systems for balance sheet management and reporting (experience)
  • Leadership experience managing cross-functional teams in a global financial services context (experience)

Responsibilities

  • Develop and execute funding and liquidity strategies to optimize JPMorgan Chase's balance sheet in the APAC region, ensuring compliance with internal and regulatory requirements
  • Manage foreign exchange (FX) hedging programs to mitigate currency risks associated with global operations and investments
  • Oversee interest rate risk in the banking book (IRRBB) modeling, scenario analysis, and stress testing to safeguard against market volatility
  • Collaborate with the Chief Investment Office to align treasury activities with broader investment objectives and portfolio management
  • Monitor and forecast liquidity positions, recommending actions to maintain optimal funding sources and contingency planning
  • Analyze market trends, interest rates, and FX movements to inform strategic decisions and risk mitigation tactics
  • Prepare and present treasury reports to senior management and regulatory bodies, highlighting key risks and performance metrics
  • Lead initiatives to enhance treasury processes, including automation and integration of advanced analytics tools
  • Ensure adherence to JPMorgan Chase's risk management policies and contribute to firm-wide treasury best practices
  • Mentor junior team members and foster a culture of innovation within the Treasury & Chief Investment Office

Benefits

  • general: Competitive base salary and performance-based annual bonus aligned with JPMorgan Chase's total rewards philosophy
  • general: Comprehensive health, dental, and vision insurance coverage for employees and eligible dependents
  • general: Generous retirement savings plan with employer matching contributions to support long-term financial security
  • general: Paid time off including vacation, sick leave, and parental leave to promote work-life balance
  • general: Professional development opportunities through JPMorgan Chase's internal training programs and tuition reimbursement
  • general: Employee stock purchase plan and other financial wellness benefits tailored to the financial services industry
  • general: Wellness programs including gym memberships, mental health support, and flexible working arrangements in Singapore
  • general: Global mobility support for career advancement within JPMorgan Chase's international network

Target Your Resume for "Treasury & Chief Investment Office - Vice President" , JP Morgan Chase

Get personalized recommendations to optimize your resume specifically for Treasury & Chief Investment Office - Vice President. Takes only 15 seconds!

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

Check Your ATS Score for "Treasury & Chief Investment Office - 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 Treasury & Chief Investment Office - Vice President @ JP Morgan Chase.

Quiz Challenge
10 Questions
~2 Minutes
Instant Score

Related Books and Jobs

No related jobs found at the moment.