• Asset Management - Cash Management Vice President Jobs in Hyderabad,India

  • JPMorgan Chase & Co
  • Save Job
  • 0 - 2 Years
  • Posted : above 1 month

Job Description:

Asset Management - Cash Management Vice President Req # 190062046

Location Mumbai, MH, IN

Job Category Asset Management

JP Morgan is a leading global financial services firm, established over 200 years ago

o We are the leader in investment banking, financial services for consumers and small businesses, commercial banking,

financial transaction processing, and asset management

o We have assets of $26 trillion and operations worldwide

o We operate in more than 100 markets

o We have more than 243,000 employees globally

Our wholesale businesses include JP Morgans Asset Management, Commercial Banking and the Corporate &

Investment Bank which provide products and services to corporations, governments, municipalities, non-profits,

Institutions, financial intermediaries and high-net worth individuals and families

Our corporate functions support the entire organization and include the following functions Accounting, Audit, Finance,

Human Resources, Operations, and Technology

JP Morgan in India provides a comprehensive range of Corporate & Investment Banking, Commercial Banking, Asset &

Wealth Management, and corporate functions services and solutions to our clients, executing some of the most important

Financial transactions and providing essential strategic advice to our clients such as the government, large domestic

and multi-national corporations, non-government organizations and financial institutions and investors India is a key

Market for JPMorgan Chase globally and our employees in India are a critical part of how we do business globally and are integrated within our businesses Our Global Service Centers (GSCs) are strategically positioned in Mumbai, Bangalore and Hyderabad to support the firms operations regionally and globally The centers provide comprehensive strategic

Support across technology and business operations processing to all lines of business and the corporate functions

Roles & Responsibilities - include specific functions/ tasks/ performance objectives

The primary responsibility of cash processing team is to input cashflows in the cash posting system for the purpose of accounting Job responsibility includes -

Processing of cash flows per the requests received from the Client Service Group & custodians
Monitoring of queues and workflows and adhere to multiple cutoffs
Play an active role in user acceptance testing for all technology releases and enhancement
Ability to plan & prioritize
to be able to understand the queries from Front Office / Middle Office / Counterparties & act accordingly
Be part of other initiatives related to the line of business

Conduct product/process functional review

Counterparties, Broker and custodian performance review

Lead cash strategic initiatives

Lead Robotics initiatives within cash ops space

Daily KPI and metrics reporting

Candidate should be flexible to work in ASIA/EMEA/US hours

Essential Skills & Experience

The primary responsibility of this position is to provide processing support for effective and efficient process delivery

Ensure adherence of operational procedures to complete task in an accurate and timely manner
Prior knowledge of Investment Management or Fund accounting business is desirable
Function is critical from impact perspective hence need an eye for detail
An acute awareness of the high risk, time critical and complex nature of the Business, an ability to work under pressure and to meet tight deadlines is essential
Flexible to work overtime and on holidays as required by the Business
Knowledge of Microsoft Word, Excel and Access
Ability to work in a deadline driven environment
A proactive approach to problem solving, taking ownership of issues and having the determination to follow things through
Client focused
Good time management skills
Ability to communicate effectively and assist Client Service Specialists / Front Office Groups / Middle Office Groups with queries/investigations
Establish excellent relationships with various internal departments and external parties with whom interaction is required
Actively work with the team to resolve exceptions Prepare case notes and discuss learnings with team
Look for opportunities to improve process efficiency

Knowledge of Investment products

Worked and desire to work in an automated Processing environment

Control Oriented

Must be highly organized and able to work to tight deadlines

Client Focused & having Risk awareness

Needs excellent attention to detail and a high degree of professionalism / initiative

Basic knowledge about the securities market and different financial products

Profile Summary:

Employment Type : Full Time
Eligibility : Any Graduate
Industry : Financial Services/Stockbroking
Functional Area : Accounting/Tax/Company Secretary/Audit
Role : Cost Accounting/ ICWA
Salary : As per Industry Standards
Deadline : 07th Jan 2020

Key Skills:

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