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HomeCompaniesJpmc Fa Oraclecloud Com CX 1002Global Finance and Business Management

Global Finance and Business Management

Jpmc Fa Oraclecloud Com CX 1002 · Brooklyn, NY, United States; 03357-4 Metrotech, Brooklyn, NY, US; 60064-270 Park, New York, NY, US · Active · Oracle Recruiting Cloud / Fusion HCM

Job facts

FieldValue
CompanyJpmc Fa Oraclecloud Com CX 1002
TitleGlobal Finance and Business Management
Normalized title-
Department / teamController
LocationBrooklyn, NY, United States
Work model-
Employment type-
Salary-
Statusactive
ATS providerOracle Recruiting Cloud / Fusion HCM
Posted / first seen2026-04-22 / 2026-05-31
Changed / last seen2026-05-31 / 2026-06-21

Related slices

PageWhat it containsOpen
Company jobsActive postings from Jpmc Fa Oraclecloud Com CX 1002.Open
Company breakdownsRole, location, ATS, and work model facets for this company.Open
ATS provider jobsActive postings observed through Oracle Recruiting Cloud / Fusion HCM.Open
Provider filtered searchThe same provider as a filtered job collection.Open
City jobsActive postings in Brooklyn.Open
Department jobsActive postings in Controller.Open
Lifecycle eventsOpen, update, close, and reopen events for this posting.Open
Original postingCanonical source or apply URL captured from the ATS.Open

Linked records

CompanyJpmc Fa Oraclecloud Com CX 1002
Sourceed8d7a64-2bb7-4180-aca7-787bf69dab15
ATS providerOracle Recruiting Cloud / Fusion HCM

Description

Description Our Product Control team is responsible for providing support to the trading desks to ensure that the profit and loss, balance sheet, and month end close procedures are done accurately.

Full job record

Job ID9a1db6252ca12320c3284983991441fba608d39e
Org ID29197936-fa31-4071-953c-a4a68cabdc6e
Source IDed8d7a64-2bb7-4180-aca7-787bf69dab15
Board IDed8d7a64-2bb7-4180-aca7-787bf69dab15
Provideroracle_hcm
Provider Job Key210738529
TitleGlobal Finance and Business Management
Normalized Title
Statusactive
Activeyes
Location TextBrooklyn, NY, United States; 03357-4 Metrotech, Brooklyn, NY, US; 60064-270 Park, New York, NY, US
DepartmentController
Team
Employment Type
Workplace Type
Remote Policy
CountryUnited States
RegionNY
CityBrooklyn
Salary RawDescription Our Product Control team is responsible for providing support to the trading desks to ensure that the profit and loss, balance sheet, and month end close procedures are done accurately.
Salary Min
Salary Max
Salary Currency
Salary Periodmonth
Source URLhttps://jpmc.fa.oraclecloud.com/hcmUI/CandidateExperience/en/sites/CX_1002/job/210738529
Apply URLhttps://jpmc.fa.oraclecloud.com/hcmUI/CandidateExperience/en/sites/CX_1002/job/210738529
First Seen At2026-05-31 18:15:49Z
Last Seen At2026-06-21 13:03:44Z
Last Checked At2026-06-21 13:03:44Z
Last Changed At2026-05-31 18:15:49Z
Inactive At
Source Posted At2026-04-22 00:00:00Z
Source Updated At
Raw Payload Uris3://job-postings-prod-raw-590183727216/raw/provider=oracle_hcm/board=jpmc.fa.oraclecloud.com|CX_1002/date=2026-06-21/2026-06-21T13-01-12-004Z-4c27594d85c42e6f34ae8d95f7d84a2062c63c01dbaec44bb65313275056666b.json
Event Fields
{
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  "source_hash": "68fe864895dcf543a0ca47c61cd3377e3289c9bc56d9732ec9bf52232c98ad0c",
  "last_changed_at": "2026-05-31T18:15:49.610Z",
  "active_status": "active"
}
Parsed Structured
{
  "dedupe": null,
  "language": "en",
  "location": {
    "raw": "Brooklyn, NY, United States",
    "city": "Brooklyn",
    "region": "NY",
    "country": "United States",
    "is_remote": false,
    "confidence": 0.8
  },
  "salary_max": null,
  "salary_min": null,
  "inferred_at": "2026-06-21T13:03:44.052Z",
  "launch_scope": {
    "reason": "english_us_canada",
    "included": true,
    "language": "en",
    "location": {
      "raw": "Brooklyn, NY, United States",
      "city": "Brooklyn",
      "region": "NY",
      "country": "United States",
      "is_remote": false,
      "confidence": 0.8
    },
    "countries": [
      "United States"
    ]
  },
  "remote_policy": null,
  "salary_period": "month",
  "workplace_type": null,
  "salary_currency": null
}
Extensions
{}
Native Structured
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    "JobType": null,
    "Distance": 1776816000000,
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    "WorkDays": null,
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    "PostedDate": "2026-04-22",
    "StudyLevel": null,
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    "LegalEmployer": null,
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    "WorkplaceType": "",
    "BusinessUnitId": 300060261545756,
    "OrganizationId": 300000165283189,
    "PostingEndDate": null,
    "LegalEmployerId": 300000087185180,
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    "WorkDurationYears": null,
    "WorkplaceTypeCode": null,
    "BeFirstToApplyFlag": false,
    "WorkDurationMonths": null,
    "otherWorkLocations": [
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        "LocationId": 300000161126808,
        "PostalCode": "10017",
        "TownOrCity": "New York",
        "AddressLine1": "270 Park Ave",
        "AddressLine2": null,
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        "AddressLine4": null,
        "LocationName": "60064-270 Park",
        "RequisitionWorkLocationId": 300087048768933
      }
    ],
    "secondaryLocations": [
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        "Latitude": 40.58055,
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        "CountryCode": "US",
        "GeographyId": 300000020694566,
        "GeographyNodeId": 100273111097408,
        "RequisitionLocationId": 300087048257111
      }
    ],
    "ShortDescriptionStr": "Our Product Control team is responsible for providing support to the trading desks to ensure that the profit and loss, balance sheet, and month end close procedures are done accurately.",
    "requisitionFlexFields": [],
    "DomesticTravelRequired": null,
    "PrimaryLocationCountry": "US",
    "ExternalQualificationsStr": null,
    "ExternalResponsibilitiesStr": null,
    "InternationalTravelRequired": null
  },
  "detail_meta": null,
  "detail_errors": []
}
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