National Capital Region, Philippines
43 days ago
Fund Servicing Senior Manager - Performance Reporting Manila

At JPMorgan Chase, we champion a culture of diversity, equity, and inclusion, recognizing that diverse talent is key to our success. We provide equal opportunities for all, encouraging our employees to bring their authentic selves to work, without discrimination. We accommodate religious practices, beliefs, and disability needs, valuing the strength and creativity that different perspectives bring to our work. If you're passionate, curious, and ready to make an impact, we invite you to join us in shaping the future of our business.

As a Senior Performance Reporting Manager under the Fund Servicing operations team, you will support the bank’s institutional asset owner and asset manager clients with technologies that provide insights into the result of their investment decisions throughout the investment lifecycle. Our integrated global platform FUSION – in partnership with industry leader FactSet Research Systems - is designed to deliver flexible multi-currency returns, exposures, risk, investment multiples and value-added analysis at scale every day worldwide. 

We are seeking for a a confident, self-motivated, creative and collaborative subject matter expert who can assist a team of analyst supporting our back-office production activities and is ready to inspire and captivate the most sophisticated clients in institutional investment services as a Performance and Risk Analytics Associate. 

Job responsibilities:

Act as the face of the franchise, representing PRA and the Bank at onboardings, formal service reviews, due diligence meetings and RFI/P presentations (includes periodic travel). Partner with internal stakeholders to deliver a coherent, resonant message to market. Demonstrate expertise in the investment lifecycle. This includes industry best practices, regulatory requirements, the competitive landscape and emerging trends in performance and risk analytics across client segments. Conduct comprehensive performance analyses of investment portfolios including attribution analysis, exposures and rates of return against objectives. Develop and maintain sustainable service relationships that ensure timely and accurate reporting for clients. Identify, document and pursue opportunities to deepen relationships through product demonstration, trial subscription, and cross-sales. Analyse and interpret workflow exceptions. Guide third parties on remediation efforts and take ownership on plan execution. Present findings in straightforward, audience-appropriate communications. Lead inquiry response efforts with external stakeholders including portfolio managers, back-office operations, and vendors. Establish clear priorities and articulate dependencies as well as delivery/resolution timetables. Maintain a positive, uplifting work environment where all are encouraged to contribute. Adopt a growth mindset where all feel comfortable taking risks to learn. Persist through setbacks to achieve results. Demonstrate success building strong interpersonal relationships in large, complex organizations. Ability to defend principles and build broad consensus amicably based on shared interests.

Required qualifications, capabilities and skills:

12+ years of experience in performance analysis, risk analytics, or investment analytics within the financial services industry. Background in or strong understanding of institutional fund accounting required.

Preferred qualification: 

Bachelor's degree in Finance, Mathematics, Statistics or related field. Interest and/or pursuit of Master's degree or relevant professional designations (such as CFA, CIPM, CAIA, FRM) preferred. Knowledge / use of FactSet and/or competitor platforms preferred.

 

 

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