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Valuation Control Group Collateral
4 months ago
The Valuation Control Group covers a broad range of products across the entire liquidity spectrum. With core valuation processes delivered through dedicated technology and quantitative research resources, the team focusses on insightful analysis leveraging multiple market data sources through advanced analytics platforms.
As a Vice President of Corporate Controller in the Valuation Control Group Collateral team, you will be responsible for all aspects of the valuation control framework for collateral lending businesses within JPMorgan, including independent price verification for liquid and illiquid securities across a wide array of asset classes, including corporate, municipal, convertible and agency bonds. You will be instrumental in building out the current valuation control framework and will be the subject matter expert for all collateral lending valuation processes globally across JPMorgan. If you have a good understanding and keen interest in financial markets, combined with strong analytical abilities and a strong control mindset, please apply today.
Job Responsibilities:
Be responsible for all aspects of the valuation control framework for global collateral lending business in JPMorgan, including independent price verification for securities and building out the valuation control framework across asset classes. Identify emerging valuation risks and drive methodology enhancements to ensure valuation controls accurately capture market dynamics and opportunities to enhance control efficiency Own the relationship with Front Office and key Finance, Technology and Risk partners providing value add analysis on month-end results, illiquid and concentrated positions Partner and participate in projects within the group and the wider Finance organization together with Front Office, Reporting and Technology and participate in regulatory exams and address bank’s regulators inquiriesRequired Qualifications, Capabilities, and Skills:
7+ years of experience in financial industry or relevant experience Securities product and market experience Must have quantitative aptitude and keen interest in financial markets and products Independent, critical thinker with sound judgement and ability to challenge constructively Curious personality; inclusive; detail oriented; Always looking to improve Strong communication skills and ability to synthesize complex subjects; Good at multitasking and prioritization Basic Microsoft Office & strong Excel skills are requiredPreferred Qualifications, Capabilities, and Skills:
Understanding of or training in financial products Knowledge of data science (., Machine learning), analytics platform (., Alteryx) and data visualization tool (., Tableau) will be advantageous