Description Use your analitical skills and ability to react quickly to changing market environments to manage the firms international rates and Foreign Exchange (FX) exposure. As a International Rates and FX Portfolio Manager in Treasury Chief Investment Office (TCIO) you will be responsible for managing the firms international rates and Foreign Exchange (FX) exposure, managing risk across global rates markets and interacting with other TCIO teams such as FTP and funding. Job responsibilities Manages a portfolio of global rates and FX risk Works with related functions to ensure the smooth functioning of the bank’s portfolio and risks Analysis JP Morgan’s balance sheet, assets and liabilities to identify risks Devises strategies to optimize the balance sheet to meet the objectives of the firm Executes cash and derivatives trades in FX and fixed income Provides pricing for related functions Conducts research on markets and economics to identify issues relevant to the firm Books and exercising trades Analysis markets for opportunities and develop trading strategies that meet the firms investment objectives Pricings and executing derivative and cash transactions Required qualifications, capabilities, and skill Bachelor’s degree minimum of a 2:1 or equivalent Strong analytical skills Ability to react quickly to changing market environments Strong approach to control environment Good Excel skills Works well within a team Preferred qualifications, capabilities, and skills Trading or execution of FX, Government bonds or interest rate swaps and options Analysing, pricing or executing fixed income derivatives Managing firms balance sheet liquidity and ftp process Structuring in rates or FX, ALM or capability to work on product risk types and stress analysis