JPMorgan Chase
JPMorgan Chase

CIB Risk Analyst

職種データサイエンス
経験ミドル級
勤務地Mumbai, India
勤務オンサイト
雇用正社員
掲載2ヶ月前
応募する

ポジションについて

Job Responsibilities:

  • Keeping abreast of industry initiatives around margin methodologies, providing insights on the impact on JPMorgan and enhancing transparency around emerging risks in the area
  • Providing independent advice on counterparty credit exposure for new deals with complex structures or relatedness, including the explain and challenge of calculations by 1st line of defense
  • Act as subject matter expert on counterparty credit exposure/risks, providing guidance to Credit Officers on material methodology releases or model limitations, and helping guide methodology and policy updates
  • Work with QR, Technology, Credit Officers, and other stakeholders to continuously review and enhance exposure methodologies and tools
  • Partnering with sales and trading on development and rollout of counterparty credit exposure framework for new products or structures where risk expertise is required
  • Deliver on regulatory and audit matters as required
  • Manage and contribute to firm-wide projects around key counterparty credit exposure metrics & technical enhancements.

Required qualifications, capabilities, and skills:

  • Bachelor’s degree in a discipline such as Financial Engineering, Mathematics, Physics, Statistics, Engineering, Finance and/or Economics
  • Previous experience in a risk/trading/valuation control/quantitative research role, challenging and partnering with Front-Office
  • Proficient with MS Excel, familiar with Bloomberg
  • Proficiency in coding (Python) and automation intelligent solutions, like Tableau and Alteryx, would be beneficial
  • Good written and verbal communication skills: the candidate must be articulate and able to explain technical concepts to non-specialists; able to adjust communication style for a variety of situations and be able to hold their ground as required
  • Strong sense of accountability and ownership: must be diligent, self-motivated and get the work done; have a risk mind-set, and be confident to make a risk judgment, articulate it, and challenge it.

Preferred qualifications, capabilities, and skills

  • Prior experience of Market and/or counterparty Credit risk experience focusing on margin, collateral or exposure metrics would be preferrable; strong candidates with other backgrounds would also be considered
  • Good knowledge of traded products, spanning derivatives (across asset classes), securities and financing
  • Working knowledge of JPM systems and infrastructure will be a strong advantage.

福利厚生

健康保険

有給休暇

退職金制度

Learning Budget

ストックオプション

必須スキル

Data analysis

Reporting

Stakeholder management

JPMorgan Chaseについて

Mumbai

本社所在地