What are the responsibilities and job description for the Trade Lifecycle Analyst position at JPMC Candidate Experience page?
Step into a pivotal role within J.P. Morgan Securities, Limited Liability Company (LLC's) Financial Risk & Control group, where you'll play a key part in identifying and mitigating risk for our clients and the firm. We offer a dynamic environment that values innovation, collaboration, and continuous improvement. Be part of a team that empowers you to make a significant impact and supports your professional growth.
As a Trade Lifecycle Analyst within J.P. Morgan Securities, you will ensure seamless trade execution by managing and optimizing the entire trade lifecycle. You will collaborate closely with teams such as the front office, legal, compliance, and finance to scrutinize trading activities, market trends, and regulatory requirements. This role offers the opportunity to engage with senior management and external stakeholders, honing crucial skills and spearheading process enhancements. Your contributions will be vital in identifying and rectifying trade discrepancies, ensuring regulatory compliance through precise reporting, and fostering robust relationships with stakeholders.
Job responsibilities
- Collaborate with internal stakeholders across front-office trading, finance, and settlements to identify high-risk items and determine effective resolutions.
- Complete daily reporting tasks and processes that are critical to the firm’s regulatory requirements, ensuring accuracy and timeliness.
- Serve as an intermediary between multiple internal and external stakeholders, fostering and maintaining critical relationships.
- Utilize proprietary and industry-wide data solution tools to undertake challenging projects, identify process enhancements, and streamline reporting across various functions.
- Implement and report on strong control and risk governance through data-driven solutions.
- Support the development and execution of strategic initiatives aimed at improving risk management practices.
- Obtain FINRA SIE and Series 99 licensing within 180 days of the start date.
Required qualifications, capabilities, and skills
- Ability to work in a fast-paced, deadline-driven environment with an emphasis on risk mitigation and efficiency.
- Ability to synthesize information to formulate a concise message for senior management.
- Strong interpersonal skills, including the ability to foster a collaborative, positive work environment with stakeholders and peers.
- High level of proficiency using Microsoft Office products (PowerPoint, Word, Excel).
- Advanced data and analytical skills/experience (Pivot Tables, VLookups, etc.).
Preferred qualifications, capabilities, and skills
- Experience in the financial services industry, particularly in risk management or control functions.
- Strong strategic thinking and problem-solving skills, with the ability to anticipate issues and propose solutions.
- Demonstrated ability to manage and adapt processes in a changing business landscape.
- Experience in engaging with senior management and external stakeholders, including regulators and auditors.
- Commitment to continuous learning and professional development.
- Familiarity with automation, data analysis, and data visualization tools is a plus (e.g., Alteryx, Tableau, SQL).
- Bachelor’s degree or equivalent work experience preferred.