Trade Lifecycle Associate I – Securities Operations Regulatory Reporting

JPMorgan Chase JPMorgan Chase · Banking · Newark, DE +1 · Commercial & Investment Bank

This role is focused on regulatory reporting for a US Broker Dealer business, ensuring accuracy and timeliness of submissions to regulatory bodies like FINRA, SEC, and the Federal Reserve Board. Responsibilities include supervising daily production, collaborating with compliance and technology teams, validating data, developing controls, and leading projects to enhance reporting processes. The role requires strong analytical skills, attention to detail, and the ability to work with large datasets, utilizing tools like Alteryx and Tableau. A Bachelor's degree in Finance or equivalent experience is required, along with obtaining the FINRA Series 99 License.

What you'd actually do

  1. Supervise the daily production and submission of regulatory reports for the US Broker Dealer business.
  2. Collaborate with internal teams, including compliance, settlements, and technology, to review and implement new regulatory reporting processes.
  3. Validate source report logic to ensure accuracy and compliance with regulatory standards.
  4. Develop and enhance controls to improve the quality and reliability of regulatory reporting.
  5. Lead and contribute to strategic projects that impact the regulatory reporting landscape.

Skills

Required

  • Teamwork and collaboration
  • Working with large datasets
  • Attention to detail
  • Managing multiple priorities
  • Working under pressure
  • Strong communication skills
  • Bachelor’s degree in Finance or equivalent work experience
  • FINRA Series 99 License

Nice to have

  • Advanced data analysis tools (Alteryx, Tableau, LLM Suite)
  • Securities industry experience
  • Familiarity with regulatory reporting processes and requirements

What the JD emphasized

  • regulatory reporting
  • FINRA
  • SEC
  • Federal Reserve Board
  • compliance