You will play a vital role in monitoring and analyzing trader activities and market events. You will ensure timely P&L and risk sign-off, contributing to the accuracy and integrity of financial statements in compliance with regulatory standards.
As an EMEA Debt Capital Markets Product Controller – Associate in the Product Control department, you will be involved in monitoring and analyzing traders' activities, risk positioning, and related market events. You will ensure P&L and risk are signed off on time, in compliance with appropriate standards. Additionally, you will handle daily P&L reporting during the month-end cycle and perform income attributions as per transfer-pricing agreements. In a demanding regulatory environment, you will ensure compliance with regulatory requirements on financial statement accuracy and completeness.
Job Responsibilities :
- Develop strong partnership skills with other functions (Deal teams, Business Management, Middle Office, Technology, Front Office, and Financial Control) and Product Control peers in other regions.
- Collaborate with the EMEA GIB business and the wider F&BM team to provide effective support and control oversight, maintaining a robust control environment and facilitating business growth.
- Report P&L and risk, support month-end close activities, analyze revenue drivers, and monitor balance sheet movements, linking business activity to full financial results.
- Manage the impact of legal entity and regulatory changes on product control for the Capital Markets business, including Volcker Reporting requirements.
- Support the month-end close process in partnership with the Financial Control team (based in Delaware and Mumbai) through review of the EMEA GIB balance sheet and P&L, including investigation and resolution of variances and issues.
- Participate in new and ongoing EMEA GIB and finance-related projects, contributing to technology initiatives and regional involvement in global projects, including enhancements to the General Ledger, Client Billing, and P&L systems.
- Identify and challenge existing control operating models, address control issues and risks, and implement improvements for increased efficiency.
- Participate in Internal Audit and risk reviews, and be involved in new product approvals from a Finance perspective.
- Ensure compliance with control policies, standards, and procedures, including Corporate Accounting Policies, P&L and Risk standards, Income attribution agreements, and Volcker regulations.
Required Qualifications, Skills, and Capabilities :
Part-qualified or qualified accountant (ACA / CIMA / ACCA) or equivalent, with strong accounting skills and proficiency in navigating product P&L and balance sheets.Experience in identifying and resolving control and risk management issues impacting financial results.Strong commercial awareness and understanding of the financial services industry.Effective communicator (verbal and written), comfortable working with multiple stakeholders, able to work under pressure, prioritize tasks, and adapt to changing environments.Strong analytical skills and attention to detail, with a focus on controls.Ability to challenge existing processes, generate ideas, and solve problems.Excellent interpersonal, communication, and team-building skills, with the ability to manage multiple projects concurrently.Motivated, enthusiastic, and committed individual.Preferred Qualifications, Skills, and Capabilities :
Knowledge of Banking productsJ.P. Morgan’s Commercial & Investment Bank is a global leader across banking, markets, securities services, and payments. We serve clients in more than 100 countries, providing strategic advice, capital raising, risk management, and liquidity solutions worldwide.
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