Apply Now    

Macro Compression Middle Office Associate

Req #: 180024440
Location: Buenos Aires, C, AR
Job Category: Operations
Job Description:


Department description:
The Global Rates & FX Post Trade Middle Office team’s main purpose is to centralize and standardize our compression effort, and ensure we continue to manage the balance sheet as efficiently as possible. The team is structured on a region support model, aligned to the Global Rates & FX Middle Office Functions. Our team is key in setting & enforcing the Business’ Compression Agenda, in addition the team is tasked with executing all scheduled compression cycles, onboarding new vendors/ processes and promoting new compression initiatives.  
Key Responsibilities:
  • The role entails significant interaction with a variety of business partners & trading desks.
  • The ability to communicate complex matters in a clear and concise manner is essential whether dealing with the FO or other support groups.

Key Outputs

  • Working to CIB wide Balance Sheet targets.
  • Ensuring JPMorgan is at the forefront in the Balance Sheet Reductions initiative within the industry.
  • Work closely with the trading desks centralizing trade populations and executing compressions cycles across the risk management systems within the Global Rates & FX Business.
  • Accurately capture & reconcile all transactions in the risk management systems and ensuring downstream teams/reconciliations are taken into consideration, when performing compression.
  • Act as the first point of contact for the trading desk; work closely with the other business partners enforcing and improving the compression program.
  • Accurately produce, reconcile & explain the desks trading P&L, Risk and Positions relating to any compression cycle.
  • Perform key controls to ensure accuracy and regulatory compliance of the business and trading compression activities
  • Participate and contribute to the various compression strategic initiatives; keep improving & evolving our processes and controls


  • Strong product knowledge on interest rate swaps, cross currency swaps, FRA, and other rates derivative products, trade support experience is a plus
  • Strong technical skills, such as Excel, VBA, Access
  • Ability to communicate across location.
  • Experience in P&L, Risk & Compression.
  • Display strong drive and enthusiasm, highly numerate and have strong analytical skill, highly self driven and proactive
  • Strong technical skills, such as Excel, VBA, Access
  • Strong communication skills and attention to detail
  • Great team player to work in the pressurized environment, able to meet tight deadlines on regular basis
  • Adaptable to changing environment, ability to multi task and prioritize according to changing needs of the business
  • Ability to quickly absorb new information and incorporate changes in to existing processes
Apply Now    
Link for schema

Join our Talent Community

Not ready to apply? Leave your information with us and we will keep you up to date with new career opportunities.

Other Information

Apply Using LinkedIn

You can also apply using your LinkedIn® profile. It may save you some time because your information will be automatically transferred into our system. Just click on the LinkedIn logo when you get to the application screen and follow the directions.

Submit an Updated Résumé

During the application process, be sure you have an up-to-date copy of your Résumé, your cover letter and any other documentation you would like to submit.