JPMorgan Chase
posted 2 months ago
This position will be part of the Payments & Commerce Solutions (P&CS) Controller team within the Corporate Investment Bank ("CIB") responsible for the recording of more than $1 billion in gross fees annually. The role involves performing product and legal entity controller functions, which necessitates frequent and collaborative partnerships with various functional groups across CIB Finance and Business Management. This position offers significant involvement with several CIB and Corporate groups across the firm, including Product Management, Financial Controllers, Sales, and other Lines of Business (LOB) Finance teams, as well as Regulatory Reporting. It presents a unique opportunity for a highly motivated individual to gain broad exposure to numerous teams and products across the firm. Key responsibilities include assisting with monthly and quarterly close processes, which involve making entries to the various ledger and financial systems of the Bank. The individual will prepare various balance sheet and income statement analyses, drive coordination across various front and back office support functions to ensure the resolution of control and reporting issues in an accurate and timely manner, and work as part of a cross-functional team to implement multiple key business transformation initiatives. Maintaining robust controls in all responsibilities is crucial, as is partnering with cross-functional teams to ensure timely and accurate resolution of control and reporting issues. The role also includes serving as an analytical and project support resource for product control and handling various ad-hoc business requests on a daily basis.