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Trade & Working Capital - Global Portfolio Management -Financial Resource Management Lead - Exe ...

Posted 1 hour 46 minutes ago by JPMorgan Chase & Co.

Permanent
Full Time
Other
London, United Kingdom
Job Description

Where strategy meets execution: capital, liquidity, and Basel expertise that accelerates performance and growth.

As a Financial Resource Management Lead within Trade & Working Capital (TWC), you will lead balance sheet enhancement initiatives to improve capital efficiency, liquidity positioning, and liability structure across the Global Trade & Working Capital portfolio.

Job Responsibilities
  • Set the capital, liquidity, and liability agenda for Trade & Working Capital; deliver initiatives that lift risk-adjusted returns and balance sheet efficiency in line with firm targets
  • Run balance sheet forecasting and planning, producing multi-year asset, liability, capital, and liquidity projections with scenario analysis to guide strategic planning and budgets
  • Oversee funding and credit cost performance through partnership with Treasury on FTP/LP, track funding spreads and market pricing, and work with Risk/Finance on provisioning and understanding expected credit loss outcomes
  • Provide capital and liquidity impact assessments for distribution activities and ensure structures align with portfolio and resource objectives
  • Build performance dashboards and KPIs to manage returns, capital usage, liquidity ratios, and funding costs; identify trends and drive targeted actions
  • Lead cross-functional forums with Treasury, Finance, Risk, Product, and Sales; present recommendations to senior leadership on capital deployment and balance sheet choices
  • Act as internal/external SME on Basel interpretation for trade products; engage with trade associations and regulators to deliver business-specific industry feedback
Required qualifications, skills and capabilities
  • Bachelor's degree required or equivalent industry experience
  • Extensive experience in financial resource management, treasury, capital planning, or balance sheet management in banking
  • Deep knowledge of regulatory capital and liquidity (Basel III/IV, RWA, LCR, NSFR) and return metrics
  • Strong understanding of trade and working capital products (SCF, receivables, documentary trade, lending)
  • Advanced modelling, forecasting, and analytics; familiarity with FTP, stress testing, and provisioning methodologies
  • Proven cross-functional leadership and senior stakeholder influence; excellent written and verbal communication
Preferred qualifications, skills and capabilities
  • Advanced degree (MBA, MSF) or credential (CFA, FRM)
  • Experience in global portfolio, business management, or treasury roles within banking settings
  • Liability and balance sheet structuring expertise in trade finance or commercial lending
  • Funding cost/FTP proficiency; awareness of deposit dynamics and wholesale markets
  • Multi-year balance sheet modelling with regulatory and macro scenarios
  • Industry engagement (e.g., ICC, BAFT, IIF) and contribution to regulatory consultations
  • Track record leading complex change with strong governance and controls; multi-region experience
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