Trading Services Manager III at JPMC Candidate Experience page
Jersey City, New Jersey, United States -
Full Time


Start Date

Immediate

Expiry Date

21 Feb, 26

Salary

0.0

Posted On

23 Nov, 25

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Attention To Detail, Self-Motivation, Strong Communication Skills, Proactive Problem Solving, Time Management, Analytical Skills, High Standard Delivery, Curiosity, Initiative, Finra Licensing, Payments Understanding, Leadership Skills, Prime Brokerage Experience, Reconciliations Experience

Industry

Financial Services

Description
This is an exciting opportunity for a highly motivated professional who is looking to make a difference in a supportive and innovative environment. Be a member of a dynamic team where individuals with diverse skills and backgrounds unite to achieve common goals through excellence and creativity. The Prime Brokerage department provides packaged services to hedge funds and professional investors enabling them to finance their investment activities through a bespoke range of products tailored to suit their needs. The range of services typically available to our Prime Brokerage clients are Global Custody, Securities Lending, Financing and Margin Solutions. The successful candidate will be responsible for cash wire processing, payments processing as well as controls around equity and fixed incoming trading activity. Good communication skills and partnership abilities are essential for the interaction opportunities this role has to offer. This position represents an exciting opportunity to learn and gain exposure to a growing market as well as playing an active part in the success of the team. Job Responsibilities Processing payments Reviewing and applying incoming cash wires to institutional and retail clients Payment controls, understanding and adherence to payment controls and standards Investigating and resolving control breaks Liaising with global partners and stakeholders to resolve and mitigate reconciliation issues related to the Prime Brokerage product range Performing, designing and implementing key controls across the trade lifecycle process Analysis and identify opportunities to increase STP Developing, revising and ensuring adherence to company and department policies and procedures Ensuring that all work items are completed as per the agreed timeline Preparing and analyzing metrics Required qualifications, capabilities, and skills Attention to detail The ability to self-motivate Strong communication skills Proactive approach to problem solving, taking ownership of issues, and having the determination to follow through Impeccable time management Good use of analytical skills (identifying a problem, investigating relevant facts, finding a logical solution) Ability to deliver at a high standard even when under pressure Curiosity and Initiative to deal effectively with unfamiliar situations and learn from them Finra licensing; SIE + Series 99 Preferred qualifications, capabilities, and skills Financial services experience in Corporate Banking Strong payments understanding and background Stronger leadership skills Experience within Prime Brokerage / Securities Settlements / Asset Servicing Experience of Reconciliations Analytical skills
Responsibilities
The successful candidate will be responsible for cash wire processing, payments processing, and controls around equity and fixed incoming trading activity. They will also liaise with global partners to resolve reconciliation issues and ensure adherence to company policies and procedures.
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