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Investment Risk & Analytics - Senior Analyst
Columbus, OH, United States, US
·
On-site
·
Full-time
·
3w ago
Join a high-impact team at JPMorgan Chase that safeguards over $1 trillion in AUM across the Global Private Bank and Consumer Bank. You’ll partner directly with investors, due diligence, and control functions to elevate the risk posture of proprietary and third‑party strategies. From portfolio deep dives to governance leadership, your analysis will influence senior decisions and client outcomes. If you thrive at the intersection of markets, risk, and analytics, this is your opportunity to shape our investment risk framework. Grow your career with a firm committed to innovation, integrity, and client excellence.
As a Senior Analyst, Investment Risk & Analytics in Global Private Bank Investment Risk & Analytics (IR&A), you will lead risk oversight of Managed Strategies spanning proprietary products and third‑party funds across Wealth Management. You will assess investment risks throughout the product lifecycle—from onboarding through ongoing monitoring—providing timely, actionable insights to senior stakeholders. This role offers broad exposure to Alternatives, Fixed Income, Equity, and Mutual Funds, and the ability to influence governance, policy alignment, and audit readiness across the platform.
Job Responsibilities:
- Identify emerging and thematic risk issues across Managed Strategies and recommend targeted mitigation actions to protect clients and the firm.
- Assess investment activities for market, liquidity, concentration, and operational risks and escalate material issues to senior management with clear rationale.
- Partner with the Business and Due Diligence teams to articulate product‑specific risk considerations and suitability implications.
- Conduct deep dives on investments and managers, including stress testing, scenario analysis, and performance attribution to isolate key drivers.
- Lead or contribute to ad hoc risk analytics projects that enhance oversight, controls, and reporting quality.
- Maintain and advance domain knowledge on sustainable investing, integrating industry standards and trends into risk reviews and frameworks.
- Represent Risk in cross‑functional working groups and committees, synthesizing complex topics into crisp, decision‑ready insights.
- Coordinate with Controls and Policy Governance to ensure investment risk documentation aligns with firmwide standards and remains audit and regulatory compliant.
- Contribute to the design and enhancement of risk metrics, dashboards, and monitoring tools to improve transparency and timeliness.
- Build strong stakeholder relationships across portfolio management, product, legal, compliance, and operations to drive end‑to‑end accountability.
- Support continuous improvement of risk methodologies, including model and assumption reviews, back‑testing, and control enhancements.
Required Qualifications, Capabilities, and Skills:
- Bachelor’s degree in Finance, Engineering, or a related field; Master’s in Finance or CFA candidacy a plus.
- Minimum 2 years of experience in financial services with exposure to investment risk, product oversight, research, or portfolio analytics.
- Proficiency with investment products, including Alternatives, Fixed Income, Equity, and Mutual Funds, and their distinct risk profiles.
- Strong analytical and problem‑solving skills with the ability to interpret complex data and translate into clear actions.
- Excellent written and verbal communication skills; adept at presenting complex concepts to senior stakeholders.
- Demonstrated experience in identifying, assessing, and escalating risk issues with sound judgment and follow‑through.
- Familiarity with governance, audit, and regulatory expectations related to investment products and oversight.
- Collaborative mindset with proven ability to work across lines of business and functional teams.
- High attention to detail and organizational skills to manage multiple priorities in a fast‑paced environment.
- Comfort with data‑driven analysis and business intelligence tools for monitoring and reporting.
- Commitment to continuous learning, especially on sustainability topics and evolving industry best practices.
Preferred Qualifications, Capabilities, and Skills:
- Master’s degree in Finance; CFA and/or FRM designation or candidacy.
- Experience with data visualization (e.g., Tableau) to build insightful risk dashboards and reports.
- Programming skills (e.g., Python or VBA) to automate analyses, stress tests, or data quality checks.
- Prior exposure to manager due diligence, product onboarding, or multi‑asset risk frameworks.
- Working knowledge of scenario design, stress testing methodologies, and performance/risk attribution.
- Experience engaging in control design, policy governance, and audit preparation within financial institutions.
- Track record of influencing cross‑functional stakeholders and driving execution on risk remediation plans.
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1
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模擬応募者数
0
スクラップ
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JPMorgan Chaseについて

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+
従業員数
New York City
本社所在地
$500B
企業価値
レビュー
3.8
10件のレビュー
ワークライフバランス
3.2
報酬
4.1
企業文化
3.8
キャリア
3.0
経営陣
2.5
65%
友人に勧める
良い点
Good benefits and compensation
Supportive and collaborative environment
Flexible work arrangements
改善点
Long hours and heavy workload
Management issues and lack of direction
High stress during peak times
給与レンジ
41件のデータ
Junior/L3
Mid/L4
Senior/L5
Junior/L3 · Analytics Solutions Associate
1件のレポート
$139,000
年収総額
基本給
$107,000
ストック
-
ボーナス
-
$139,000
$139,000
面接体験
5件の面接
難易度
3.0
/ 5
期間
14-28週間
内定率
40%
体験
ポジティブ 20%
普通 80%
ネガティブ 0%
面接プロセス
1
Application Review
2
HireVue Video Interview
3
Recruiter Screen
4
Superday/Panel Interview
5
Final Interview
6
Offer
よくある質問
Behavioral/STAR
Technical Knowledge
Culture Fit
Past Experience
Case Study
ニュース&話題
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3d ago
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3d ago
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