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Rates Product Control Analyst for EMEA

2 months ago


London, Greater London, United Kingdom JP Morgan Chase Bank, National Association Full time
Job Overview

Join our dynamic team where each day presents new challenges. Bring your enthusiasm and entrepreneurial mindset as you engage in various aspects of innovation within the banking sector.

As an EMEA Rates Product Controller, you will collaborate closely with the Front Office trading desk, Market Risk, and other support teams. This role demands exceptional communication skills, self-motivation, and the ability to work autonomously with minimal supervision. You will be responsible for conducting independent, precise, and timely analyses of daily Profit & Loss (P&L) and Risk for the Exotics Rates trading desk. This position offers a remarkable opportunity to deepen your understanding of Interest Rate trading strategies and risk management techniques through exposure to one of Europe's leading Rates trading desks. The Exotic Rates business encompasses a diverse array of interest rate products, including Yield Curve Spread Options, CMS, Bermudans, and Digis, as well as vanilla products like Swaptions, Interest Rate swaps, and XCCY swaps across various curves and tenors in multiple European markets.

Key Responsibilities
  • Conduct daily reviews and reporting of P&L and Risk.
  • Validate and comprehend daily P&L explanations, including the review of Volcker attributions, first-order and higher-order explanations, and residual amounts.
  • Identify, design, and implement new controls and processes around P&L production to enhance efficiency and align with Global Product Control standards.
  • Engage in a variety of ongoing and new projects to ensure that the needs and requirements of Product Control are fulfilled.
  • Provide daily, weekly, and monthly P&L commentaries to senior management, elucidating P&L in relation to the desk's risk position, strategy, and economic factors.
  • Collaborate with Financial Control to investigate and resolve cash flow discrepancies and review FX balances.
  • Partner with the business to advance and implement robust controls and new business initiatives.
  • Facilitate coordination across various front and back office support functions to ensure timely and accurate resolution of control and reporting issues.
Required Qualifications, Skills, and Competencies
  • Experience in Product Control, Financial Control, Accounting, or a related field.
  • Bachelor's degree in Accounting, Finance, Business, or a related discipline.
About Us

J.P. Morgan is a premier global financial services firm, providing strategic advice and products to leading corporations, governments, affluent individuals, and institutional investors. Our commitment to delivering first-class service drives our operations. We aim to build trusted, long-term partnerships that help our clients achieve their business goals.

We recognize that our employees are our greatest asset, and the diverse talents they contribute to our global workforce are integral to our success. We are an equal opportunity employer and prioritize diversity and inclusion within our organization. We do not discriminate based on any protected attribute, including race, religion, color, national origin, gender, sexual orientation, gender identity, gender expression, age, marital or veteran status, pregnancy, or disability, or any other basis protected by applicable law. We also provide reasonable accommodations for applicants' and employees' religious practices and beliefs, as well as mental health or physical disability needs.

About the Team

The Corporate & Investment Bank is a global leader in investment banking, wholesale payments, markets, and securities services. We serve the world's most significant corporations, governments, and institutions in over 100 countries. Our team provides strategic advice, raises capital, manages risk, and extends liquidity in markets worldwide.

Global Finance & Business Management is dedicated to strategically managing capital, driving growth and efficiency, maintaining financial reporting, and proactively managing risk. By delivering information, analysis, and recommendations to enhance results and inform decisions, our teams ensure the company can navigate various market conditions while safeguarding our robust balance sheet.