Live opening · Posted 5 days ago

USD Cash Forecasting & Funding Projections

JPMorgan Chase · New York, NY, United States
Oracle
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At a glance

The key details from the original listing.

Posted 5 days ago
CompanyJPMorgan Chase
LocationNew York, NY, United States
SourceOracle
Listed5 days ago

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About the role

Description supplied by the original job listing.

Join JPMorgan Chase Operations team and be part of a dynamic environment where your leadership shapes the future. Work alongside talented professionals dedicated to excellence and innovation. Elevate your career by influencing firmwide transformation and operational success.
As a Payment Lifecycle Manager III within JPMorgan Chase you will be responsible for leading the production, oversight, and continuous enhancement of the firm's USD cash forecasting and funding projection capabilities. You will serve as a critical liaison between Cash Management, TCIO, CIB Treasury and business stakeholders, ensuring accurate and timely forecasts that support liquidity management, funding decisions, balance sheet optimization, and risk management activities. You will need to combine strong analytical capabilities, leadership skills, and stakeholder management expertise to deliver a best-in-class forecasting service while driving process improvements, controls enhancement, and strategic transformation initiatives across the projections environment.
Job responsibilities
Collaborate across Cash Asset Management, building strong stakeholder relationships
Represent Cash Asset Management at senior stakeholder working groups
Deliver effective communication tailored to stakeholders at all levels
Own project deliverables from ideation to execution
Escalate issues effectively to Service leads
Provide ad-hoc oversight and support for Projections Service
Provide approval support for FINRA Series 99 requirements
Influence change through firmwide engagement
Support operational process optimization
Drive continuous improvement initiatives
Ensure timely and relevant communications
Required qualifications, capabilities, and skills
Experience in Treasury, Liquidity Management, Cash Management, Financial Analytics, Funding, Markets Operations, or Forecasting
Exhibit excellent prioritization, planning, and organizational skills, produce quality and engaging communications materials
Take responsibility and ownership for issues, ensuring resolution
Apply operational experience in managing and optimizing processes, experience managing multiple priorities in a fast-paced environment.
Demonstrated experience managing complex financial data and delivering analytical insights.
Strong understanding of cash flow forecasting, liquidity management, funding processes, and balance sheet drivers.
Advanced Excel skills and experience working with large datasets.
Proven ability to interact effectively with senior stakeholders and influence decision-making.
Strong verbal and written communication skills, Communicate confidently and adaptably at all levels
Skilled in identifying errors and inconsistencies during review
Series 99 - to be acquired within 6 months of starting role
Preferred qualifications, capabilities, and skills
Demonstrate passion for continuous service improvement
Knowledge of forecasting platforms, BI tools, Tableau, Alteryx, SQL, Python, Databricks, or related analytics technologies.
Experience with process automation and digital transformation initiatives.
Familiarity with Global Cash Forecasting (GCF), funding systems, and Treasury reporting environments.
Project management or change management experience.

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