Full time

Long-term Balance Sheet & Liquidity Forecasting Analyst

Posted by JPMorgan Chase & Co. • Warsaw, Masovian Voivodeship, Poland

📍 Warsaw, Masovian Voivodeship 🕒 February 28, 2026

About the Role

Join a team at the center of strategic decision‑making for our Commercial & Investment Bank ( CIB). In CIB Treasury, you’ll help shape how we deploy capital and liquidity across key European legal entities. Your work will influence long‑term planning, regulatory outcomes, and business growth. You’ll collaborate with partners across Treasury, Controllers, and the lines of business while learning a broad set of products and markets. If you’re energized by data‑driven forecasting and real‑world impact, this role is for you.

As an Analyst in CIB Treasury you will help deliver long‑term forecasting of balance sheet, funding, and liquidity for major European legal entities. You work with partners across Europe, the UK, and global teams to meet internal and regulatory needs while building a holistic view of the CIB’s activities in the region. Together, we translate business plans into forward‑looking liquidity and capital usage and turn insights into action. You will build expertise ...

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