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Salary
$113k – $219k per year (Estimated)
Location
In office (Brooklyn)
Seniority
Senior

Confirmed on the employer's own hiring board on Sep 24, 2026. First seen by Alion on Sep 23, 2026. JPMorganChase scores A on the Alion truth index.

Overview
Company
Impact
Profile match
JPMorganChase is the largest bank in the United States by assets and one of the most systemically important financial institutions in the world, with a lineage running back through more than a thousand predecessor firms to the 1799 founding of the Bank of the Manhattan Company. It combines a dominant investment bank and markets business with Chase, the largest retail banking franchise in America, plus commercial banking and asset and wealth management. Headquartered in New York, the group is unusual among banks for the scale of its technology spending, running one of the largest engineering organisations of any financial institution and deploying its own internal AI platform across the firm.

Are you seeking to join a team where you can have the opportunity to thrive and grow? You have found the right team.

As a Reference Data Specialist within the Foreign Exchange Operations team, you will play a critical role in safeguarding the settlement lifecycle by authenticating and maintaining Standard Settlement Instructions (SSIs), maintaining precise client reference data, and resolving exceptions quickly. You will partner across Operations and internal stakeholders to prevent payment errors and reduce financial and reputational risk through strong controls, sound judgment, and proactive escalation. You will have hands-on exposure to market products across foreign exchange, fixed income, and derivatives while operating within global funds transfer policies and regulatory requirements. You will work in a detail-driven, client-focused, and fast-paced environment. You will have a direct impact on operational excellence and client outcomes.

Job responsibilities

  • Authenticate settlement instructions by completing external callback verification to ensure accuracy and control
  • Create, update, review, and approve Standard Settlement Instructions (SSIs) in line with established procedures and governance
  • Maintain high-quality client reference data, ensuring records are complete, current, and consistent across systems
  • Proactively identify, investigate, and escalate potential payment risks or errors, helping protect clients and the firm from financial and reputational impact
  • Deliver responsive, solutions-oriented support to internal partners and clients while adhering to global funds transfer policies and applicable regulatory requirements
  • Monitor workflows and controls with strong risk awareness, resolving breaks and exceptions quickly and efficiently
  • Collaborate with Operations teams to research inquiries, resolve escalations, and drive timely outcomes
  • Apply knowledge of financial markets and the securities industry to support accurate settlements and issue resolution
  • Demonstrate ownership and accountability for tasks, follow-through, and end-to-end outcomes
  • Use strong judgment, analytical thinking, and problem-solving skills to manage moderately complex scenarios and recommend actionable solutions
  • Uphold high standards of integrity and attention to detail, ensuring accuracy, compliance, and ethical conduct in settlement and payment processing

Required qualifications, capabilities and skills

  • A high-level sense of ownership and responsibility
  • Excellent Client focus and Customer care working practices
  • Accountable for team delivery of excellent customer service
  • In-depth understanding of financial markets and Foreign Exchange business
  • Excellent communication skills, both written and oral, including the ability to interact with all levels of the organization
  • Flexibility to adjust to business needs
  • Exceptional time management, organizational skills, and effective prioritization skills
  • Ability to prioritize and work well under tight deadlines
  • High-level analytical skills with attention to detail and accuracy

Preferred qualifications, capabilities, and skills

  • Understanding of Society for Worldwide Interbank Financial Telecommunications (SWIFT MT) message standards for Message Type (MT103) and Message Type (MT202)
  • Preferred experience supporting CIB Operations Function/Line of Business
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