Risk Manager – Treasury Services Core Cash – VP (Based in London) recruitment

About J.P. Morgan
J.P. Morgan is a leader in financial services, working in collaboration across the globe to deliver the best solutions and advice to meet our clients' needs, anywhere in the world.
We operate in 150 countries, and hold leadership positions across our businesses.
We have an exceptional team of employees who work hard to do the right thing for our clients and the firm, every day.
This is why we are the most respected financial institution in the world - and why we can offer you an outstanding career.
Our Business
Treasury Services (www.jpmorganchase.com/ts) is a line of business within the Treasury Securities Services (TSS) division of JPMorgan Chase Bank, N.A.
We are a top-ranked, full-service provider of innovative payment, collection, liquidity and investment management, trade finance, logistics, commercial card and information solutions to corporations, financial services institutions, middle market companies, small businesses, governments and municipalities worldwide.
With more than 50,000 clients and operations in 36 countries, JPMorgan Chase Treasury Services is one of the world's largest providers of treasury management services.
Our Team
Europe, Middle East and Africa (EMEA) Risk Management is an independent function reporting to the TSS Risk Executive and the JPMorgan Chief Risk Officer.
EMEA Risk Management, in partnership with the line of business management, provides risk coverage to all treasury products and services to clients within the Western European and developed markets of Central and Eastern Europe and, Middle East and Africa.
Opportunity
An opportunity has arisen in the EMEA Risk management team for an individual with strong financial services background to be Risk Manager supporting CoreCash products and services (i.e. payments and collections type solutions).
In addition, this individual will provide risk management leadership for core cash expansion initiatives into new markets and new business initiatives currently underway in the EMEA region.
Requirements / Key Responsibilities
A Risk Manager within TS must build an effective partnership with the business in order to enable a holistic approach to risk management.
This individual must have or develop an excellent understanding of the products and the associated credit and operational risks in order to support the strategic goals of the business.

Qualifications
Essential SkillsAbility to apply the principles of good credit risk management to manage credit exposures for cash management products and services.Ability to apply the principles of good operational risk management in a way that support strategic business objectivesAn excellent level of understanding on the various Treasury Services products and the associated credit and operational risks.Experience in credit issues for Financial Institutions, Non-Bank Financial Institutions and CorporationsVery strong leadership skills, ability to think clearly and concisely in a pressurised environment and to be accurate, reliable and confident in dealing with all levels of management and stakeholdersA good understanding of the global financial system particularly the cash settlement processEffective communication - both written and verbalMethodical, self-disciplined, self-motivated,
pro-active and proven partnership skillsStrong analytical, negotiation and influencing skillsExperience as a Risk Manager, or Credit Risk Manager is desirableAttention to detail