Jobs

Asset Management - Fixed Income - Investment Director - Risk Management Associate
New York, NY, United States, US
·
On-site
·
Full-time
·
1mo ago
The Global Fixed Income, Currency and Commodities team (GFICC) at J.P. Morgan Asset Management is one of the world’s deepest and best-resourced fixed income managers, with expertise across all major fixed income sectors, including niche markets. Every investment decision is based on globally integrated research-driven process relying on fundamental, quantitative, and technical inputs. Risk management is embedded in the investment decision process using a robust qualitative and quantitative framework supported by comprehensive risk models. GFICC manages a broad range of US and international strategies, through funds and/or separate accounts, including broad market, long duration, stable value, high yield, emerging market debt, short duration, global bonds, structured products, and tax-aware strategies.
As an Investment Director Associate on the Global Fixed Income Currency and Commodities (GFICC) team, you will be primarily responsible for conducting comprehensive risk analyses and generating detailed risk reports for various fixed income strategies. Your role will involve collaborating with our technology and operations partners to enhance our risk platform, as well as regularly liaising with portfolio managers, investment specialists, and GFICC management. You will be expected to deliver risk reports and analyses at both the portfolio and strategy level, and prepare risk/performance review materials for discussions with strategy CIOs and portfolio managers. Additionally, you will work in close coordination with our internal tech team to innovate, develop, and test new risk reports and analysis tools. Regular engagement with portfolio managers, investment specialists, business management, finance, Tech/Ops partners, and other internal stakeholders will be a key aspect of your role in supporting the GFICC-wide agenda.
Job Responsibilities
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Provide risk reports and risk analysis at both the portfolio level and strategy level by examining the qualitative and quantitative factors driving change in risks and exposures.
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Prepare risk/performance review material for discussion with strategy CIOs and portfolio managers.
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Work with internal tech team to innovate, develop and test new risk reports and analysis tools.
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Interact regularly with portfolio managers, investment specialists, business management, finance, and Tech/Ops partners, and other internal stakeholders to support GFICC-wide agenda.
Required qualifications, capabilities and skills
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Excellent oral and written communications skills, able to discuss risk figures, exchange ideas, and able to produce high quality output on a tight deadline.
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Technically proficient. With good understanding of the sources of risk for fixed income rates, credit products, as well as structured/securitized products.
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Experience in evaluating risk and interpreting model output on bonds, derivatives and structured/securitized products.
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Bachelors degree with 3 or more years of experience or a graduate degree in STEM or Finance.
Preferred qualifications, capabilities and skills
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Knowledge of pricing models, VaR models and stress testing techniques; Prior experience with MSCI Risk Metrics, MSCI Barra One, or Yield Book is a plus
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Previous exposure to risk management, quant modeling, or data analysis tools a plus
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About JPMorgan Chase

JPMorgan Chase
PublicJPMorgan Chase & Co. is an American multinational banking institution headquartered in New York City and incorporated in Delaware. It is the largest bank in the United States, and the world's largest bank by market capitalization as of 2025.
300,000+
Employees
New York City
Headquarters
$500B
Valuation
Reviews
4.2
10 reviews
Work-life balance
4.2
Compensation
4.3
Culture
4.5
Career
4.4
Management
4.1
75%
Recommend to a friend
Pros
Good pay and benefits
Work-life balance
Career advancement opportunities
Cons
Heavy workload at times
Career advancement takes time
Pay could be better in some roles
Salary Ranges
55 data points
Junior/L3
Mid/L4
Senior/L5
Junior/L3 · Analyst
21 reports
$126,500
total per year
Base
$110,000
Stock
-
Bonus
-
$95,450
$155,250
Interview experience
4 interviews
Difficulty
2.8
/ 5
Duration
14-28 weeks
Interview process
1
Application Review
2
HireVue Video Interview
3
Technical/Behavioral Assessment
4
Final Interview Round
5
Offer Decision
Common questions
Behavioral/STAR
Technical Knowledge
Past Experience
Culture Fit
Case Study
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