EMEA Regional Controller Fixed Income Financing – Senior Associate/ Vice President

Company: JPMorgan Chase & Co.
Apply for the EMEA Regional Controller Fixed Income Financing – Senior Associate/ Vice President
Location: London
Job Description:

This role offers the chance to work as a leader within a global team and make a meaningful impact in the Global Finance organization for the Fixed Income Financing business by leading the EMEA team across P&L & Risk, Balance Sheet and Liquidity disciplines.

A fantastic opportunity to work in CIB F&BM supporting the Fixed Income Financing trading desk and key stakeholders across multiple disciplines within the finance organisation. Operating in a fast-paced environment, you will be a key stakeholder at a time of transformation for the function. Re-imagining Balance Sheet and Liquidity as well as changing the operating model of the P&L and Risk function.

As a Corporate & Investment Bank – Fixed Income Financing, you will partner with the desk to inform resource management and strategy. You will also work cross-functionally with CIB Treasury, Corporate Treasury, Capital Management, Technology, Operations, and other Finance & Business Management teams to deliver consequential firmwide and process-improvement initiatives.

Job Responsibilities

  • Support the team producing daily P&L and Risk. Understand and evaluate trading activity and market drivers to explain daily, monthly and quarterly P&L moves.
  • Contribute to strategic technology projects: Be a driving force behind the technology uplift of P&L, Risk and Liquidity
  • Maintain robust controls partnering with Finance Control and Asset Class Control organisation.
  • Manage ad-hoc analysis and deliverables, including scenario runs, stress tests, and what-if analyses to support strategic decisions.

Required Qualifications, Capabilities, and Skills

  • Relevant experience in product control, financial control, accounting, or a related finance discipline within markets or banking.
  • Strong proficiency in Microsoft Excel (Pivot Tables, advanced formulas; VBA/Macros a plus) and comfort with finance systems.
  • Bachelor’s degree in Accounting, Finance, Business, or related field.
  • Strong analytical skills and attention to detail with a rigorous control mindset; ability to maintain comprehensive books and records and audit trails.
  • Excellent communication skills with the ability to convey complex drivers and variances to both finance and non-finance stakeholders.
  • Demonstrated experience in process improvement and/or automation in forecasting or reporting workflows.

Preferred Qualifications, Capabilities, and Skills

  • Strong team player who can also operate independently and prioritize effectively across multiple deadlines, including month-end cycles and budget rounds.
  • Management experience is vital
  • Solid understanding of fixed income financing products and associated drivers (e.g., repos, swaps, futures, bonds) in a trading environment to contextualize forecast assumptions.
  • Controller background (product control or financial control) and familiarity with liquidity/funding concepts are advantageous.

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Posted: September 17th, 2026