Logo
J.P. Morgan

Executive Director - Commercial Banking: Head of Balance Sheet Management & Capi

J.P. Morgan, New York, New York, us, 10261

Save Job

Balance Sheet Management & Capital Strategy Business Management team focuses on the Commercial Bank lending portfolio and capital implications across a full suite of financing products. The team is responsible for administration of multiple Commercial Bank Balance Sheet Forums, oversight of guidelines and controls, reporting and analytics, stakeholder management, and capital optimization priorities. In this capacity, the team supports the Head of Capital & Advisory Solutions and Commercial Bank Balance Sheet Forum members on strategic and execution priorities and works closely with Treasury, Product, and Banking stakeholders on balance sheet management topics. As the Executive Director supporting the Commercial Bank Balance Sheet Management & Capital Strategy Business Management team, you help help drive forum administration, stakeholder management, capital optimization, executive analytics, and strategic initiatives across a dynamic lending portfolio.

Job responsibilities

Lead the Commercial Bank Balance Sheet Management & Capital Strategy team

Support the Head of Capital & Advisory Solutions and Balance Sheet Forum members in setting the strategic agenda and tracking progress against key metrics across the Lending portfolio

Develop expert level knowledge on the capital treatment and economics for the expansive suite of lending products within the Commercial and Investment Bank

Cultivate strong partnerships with Commercial Bank Banking leaders, Treasury partners, and functional Product partners

Provide executive reporting and analytics on portfolio trends, pricing and product insights, profitability, and capture of future business potential

Provide administration and oversight of Balance Sheet Forum sessions, guidelines, and relevant controls

Serve as central point of contact for Controls processes, including Audit

Partner with Credit Product & Delivery teams on profitability tool requirements, enhancements and associated reporting

Provide Capital Strategy support in partnership with Commercial Bank and Global Corporate Bank Capital Strategy Business Heads, Treasury team, and Global Corporate Bank Lending Management & Capital Strategy BM team

Drive initiatives and projects with a focus on maximizing efficiencies and improving internal processes

Required qualifications, capabilities and skills

Bachelor’s degree

10+ years of relevant experience in business management, financial analysis, strategy, COO, CAO, banking or similar functions

An eagerness and ability to develop product specific knowledge around the entire lending suite, with focus on capital and liquidity requirements

Ability to synthesize and articulate results for complex problem statements to senior stakeholders

Strong project management skills, with demonstrated ability to execute strategic agenda, manage multiple projects, and independently lead initiatives

Ability to partner/collaborate with business and functional stakeholders across the organization to drive execution and influence prioritization and delivery of objectives

Strong attention to detail and problem-solving skills with ability to manage and leverage data for analytics and reporting

Ability to quickly and effectively respond to rapidly changing business needs and urgent requests

Strong organizational, time management and follow-up skills; flexibility, ability to prioritize requests and multi-task

Excellent written and verbal communication skills

Expertise with Excel and PowerPoint for executive-level presentations and messaging

Preferred qualifications, capabilities and skills

Alteryx, Tableau and data science skills

#J-18808-Ljbffr