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求人JPMorgan Chase

Risk Management - Market Risk Coverage Senior Officer

JPMorgan Chase

Risk Management - Market Risk Coverage Senior Officer

JPMorgan Chase

New York, NY, United States, US

·

On-site

·

Full-time

·

1w ago

As part of Risk Management and Compliance, you are at the center of keeping JPMorgan Chase strong and resilient. You help the firm grow its business in a responsible way by anticipating new and emerging risks and using your expert judgement to solve real-world challenges that impact our company, customers and communities. Our culture in Risk Management and Compliance is all about thinking outside the box, challenging the status quo and striving to be best-in-class.

As a Market Risk Senior Associate in the Chief Investments Office Market Risk team, you will serve as a key second line of defense, engaging directly with Home Lending businesses such as Pipeline Warehouse, Non-Agency Warehouse, and Mortgage Servicing Rights. Your responsibilities include independently monitoring, analyzing, and mitigating interest rate, spread, prepayment, and liquidity risks across Agency MBS, RMBS, and other structured products. You will set risk limits, conduct stress testing and scenario analysis, collaborate with traders on hedging strategies, and work with quantitative model developers to enhance risk modeling.

Job Responsibilities:

  • Oversee market risk for Home Lending Residential Loans desks, including Agency, Non-Agency, MSR and Hedges (Swaps, Futures, Options, TBAs, etc..)
  • Monitor and analyze key changes in market risk, trading strategies, and risk profiles in collaboration with trading desks.
  • Communicate significant risk changes, market activity, and P&L drivers to senior management through regular updates and presentations.
  • Perform deep dive analyses on products, trading strategies, and complex trades to identify material risks and weaknesses.
  • Assess new products and propose risk management frameworks, participating in the formal new product approval process.
  • Develop and implement stress scenarios, and enhance comprehensive stress tests to highlight key risks.
  • Review portfolio risk sensitivities, Value-at-Risk (VaR), Stress, and limit management, ensuring appropriateness in light of new trades and market conditions.
  • Facilitate independent challenge and discussion among traders, strategists, and risk management teams.
  • Collaborate with support functions such as Middle Office, Operations, Compliance, Technology, and Product Control to address deficiencies and improve systems.
  • Continuously develop risk methodologies, tools, and reporting frameworks, and participate in regular risk meetings and regulatory signoffs.

Required Qualifications, Capabilities, and Skills

  • Bachelor’s degree or higher in economics, finance, or a quantitative field.
  • Minimum 3 years of relevant experience in derivatives (trading, sales, structuring, market risk, VCG, MGG, product control, or risk reporting).
  • Strong knowledge of securitized product, interest rate, credit, or other fixed income markets.
  • Understanding of market risk metrics (VaR, delta, gamma, etc.).
  • Excellent written and verbal communications skills. Must be able to communicate with a wide variety of functional groups.
  • Ability to work independently with high attention to detail and lead.
  • Strong in controls, project management, time management.
  • Demonstrated effectiveness working independently and in multi-disciplinary teams.
  • Organized and able to execute responsibilities with minimal supervision.

Preferred Qualifications, Capabilities, and Skills:

  • Prior experience with Python is preferred.

総閲覧数

0

応募クリック数

0

模擬応募者数

0

スクラップ

0

JPMorgan Chaseについて

JPMorgan Chase

JPMorgan 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

Analyst

Junior/L3

Mid/L4

Senior/L5

Analyst · Analyst, Investment Banking

6件のレポート

$126,500

年収総額

基本給

$110,000

ストック

-

ボーナス

-

$103,500

$201,250

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