JPMorgan Chase & Co. in Chicago seeks a Corporate & Investment Bank Treasury VP to lead liquidity management reporting, forecasting and multi-year budgeting.
You will collaborate with TCIO, Markets FRM, Risk, P&A and LOB controllers to optimize balance sheet and liquidity usage under regulatory constraints. Responsibilities include crafting monthly senior-level overviews, supporting LCR/NSFR compliance, and driving automation of reporting with strong internal controls.
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