Treasury Chief Investment Office Asia Finance - Controller - Analyst
Talentmate
India
25th July 2026
2607-35095-954
Job Description
4 days left
Employer JPMorganChase
Location Bangalore
Posted Jul 24, 2026
Closes Jul 29, 2026
Ref 5814498101
Role Analyst, Controller / Financial Controller
Level Team Lead / Head
Certification Other
Work Mode Work from office
Hours Full Time
Organization Type Corporate
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Description
Join our dynamic Treasury/Chief Investment Office (TCIO) Finance team as an Analyst, where you will be working with a talented group of professionals in the TCIO Controller function within Liquidity & Regulatory Reporting team. We are seeking a highly motivated and energetic individual with strong control mindset, excellent analytical and communication skills.
As an Analyst in the Treasury/Chief Investment Office Asia Finance function, you will be responsible for supporting US liquidity and regulatory reporting for TCIO APAC region. You will have the opportunity to assist with the Treasurers’ ongoing monitoring of TCIO’s liquidity position, responsible for conducting and maintaining robust reporting frameworks and tools for TCIO’s liquidity analysis and US regulatory reporting.
Job Responsibilities
Work closely with US Regulatory Reporting and Liquidity Reporting team within TCIO Asia Finance function
Support reporting and analytics to ensure liquidity position is accurately reflected in various liquidity reports, including available collaterals reporting to Head Office
Collaborate with team to partner with key stakeholders such as Global TCIO Liquidity Controllers, Corporate Treasury Middle Office, Portfolio Managers, Firmwide Asset & Liabilities Management Analytics team, APAC Liquidity Management team and Liquidity Risk Oversight team to explain, investigate and resolve funding movements for individual entities in APAC
Collaborate with the team to partner with Global TCIO Reporting team, Firm-wide External Reporting Controllers to ensure accuracy in ledger at global level and compliance with regulatory reporting requirements
Assist validating Risk Weighted Assets and provide analytics for management reporting and global P&A team
Understand drivers and financial impacts, provide ad hoc business analysis for decision making support to senior management and business heads
Contribute to continuous automation and improvement of the key processes and controls through modern data, business intelligence, advanced analytics solutions, and AI-enabled solutions
Contribute to New Business Initiatives Assessment including active participation in on-board new products & support defining finance and liquidity workflow, analysis/advice around accounting booking strategies & operational procedures
Participate and contribute to firm-wide liquidity and external reporting initiatives
Provide support for ongoing review of current processes, identify opportunities for improving efficiency & controls and delivering tactical/strategic solutions
Provide support for any ad hoc requests and queries from various stakeholders
Required Qualifications, Capabilities, And Skills
Bachelor’s degree in Accounting or Finance or a relevant discipline
Highly motivated self-starter who is adaptive, fast-learning, responsive and detail-minded with strong analytical skills
Good team player with strong interpersonal and communication skills, oral and written
Ability to work under pressure with strong time management and multi-tasking skills
Sound control mindset and understanding of the control environment
Knowledge of US GAAP and advanced MS Excel skills are essential
Preferred Qualifications, Capabilities, And Skills
Experience and knowledge of US regulatory and liquidity reporting with top tier bank
Completion of professional bodies examination (e.g. CPA or CFA)
Experience with one or more of Databricks, Snowflake, LLM/Copilot, SQL, Python, Alteryx etc.
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