Mid-Level
Join JPMorganChase and help shape how treasury insights support client growth, disciplined risk management, and strong financial performance. You will work in a collaborative, international environment where your analysis influences decisions across products, pricing, and balance sheet strategy. This is an opportunity to build deep treasury fundamentals, strengthen stakeholder management skills, and contribute to continuous improvement in how we deliver analytical work.
As a Treasury Associate at JPMorganChase within the International Private Bank, you will support analytical work across balance sheet, profitability, pricing, and global treasury initiatives. You will help connect treasury metrics to business decisions by producing clear, senior-ready analysis and partnering closely with stakeholders across finance, risk, business, and technology. You will also help strengthen day-to-day processes and controls that underpin accurate, timely treasury reporting and insights.
Job responsibilities
Support treasury operational processes and controls for loan and deposit booking activities to ensure timely and accurate deliverables
Produce recurring and ad hoc analysis on balance sheet, liquidity, interest rate risk, and profitability for the Private Bank
Perform funds transfer pricing analysis and help connect impacts to product pricing and performance measurement
Prepare concise, senior-ready materials that clearly communicate key insights, drivers, and recommendations
Partner with stakeholders across finance, risk, business, and technology to gather inputs, clarify requirements, and deliver analysis on schedule
Identify and support process improvement and automation opportunities to increase efficiency and reduce operational risk
Apply sound judgment and strong attention to detail to ensure data quality, consistency, and control discipline across deliverables
Required qualifications, capabilities and skills
Experience in an analytical role within banking or financial services (for example, treasury, finance, asset and liability management, or product control)
Basic understanding of treasury and banking finance concepts, including balance sheet, liquidity risk, interest rate risk, and profitability metrics
Demonstrated ability to structure problems, analyze data, and draw clear, well-supported conclusions
Strong written and verbal communication skills, with the ability to simplify complex topics for diverse stakeholders
Experience working effectively in an international environment with global stakeholders across time zones
Strong attention to detail, ownership mindset, and ability to manage multiple priorities with appropriate follow-through
Advanced Microsoft Excel skills and strong PowerPoint skills for analysis and senior-level materials
Experience using artificial intelligence tools to enhance analysis and automate routine tasks, applying appropriate controls and judgment
Preferred qualifications, capabilities and skills
Experience supporting Private Bank or wealth management businesses
Familiarity with Python, Tableau, or similar analytical and visualization tools
Fluency in a language in addition to English
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