招聘

Risk Management - Specialized Market Risk Associate - CIO
New York, NY, United States, US
·
On-site
·
Full-time
·
3w 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 Specialized Risk Associate in the Chief Investments Office Market Risk team, you will perform coverage for the Firm's regulatory comprehensive capital analysis and review (CCAR) submissions, including execution of stress testing methodology, analysis of market risk drivers and communication of results to senior management. Additionally, you will stay up to date with market changes and analyze its impact to the portfolios. You will evaluate and implement updates to financial models used in market risk management, including challenges to proposed methodology, performing impact assessments, and coordinating model implementation timelines. Additionally, you will perform review of business processes and implement enhancements and automation to enhance capabilities and streamline infrastructure. You will conduct analysis and consolidation of budget, forecast, CCAR Pushand risk appetite results and perform variance analysis while reviewing and challenging model outputs and results. You will also analyze macroeconomic variables and understand the impact to financial projections. You will also drive efficiencies and process improvements and be involved in driving technology initiatives, ensuring data integrity, accuracy and timeliness in all financial reporting and presentations.
Job Responsibilities:
- Execute end-to-end regulatory stress testing processes supporting capital planning submissions.ng:
- Project macroeconomic variables using regression-based models and document key assumptions.
- Reconcile positions and exposures to official risk systems and investigate breaks to resolution.
- Estimate accumulated other comprehensive income impacts across stress horizons for fixed income portfolios, including Agency mortgage-backed securities, municipal bonds, collateralized loan obligations, US Treasuries, and international government bonds.
- Validate projected stress impacts using offline analytics, alternative models, and benchmarking techniques.
- Analyze market risk drivers and explain key results across scenarios, horizons, and products.
- Summarize stress testing outcomes into clear, senior-ready materials with a focus on key risks and sensitivities.
- Communicate results and methodology insights to partners in Strategy, Finance, and planning teams
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.
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关于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+
员工数
New York City
总部位置
$500B
企业估值
评价
3.8
10条评价
工作生活平衡
3.2
薪酬
4.1
企业文化
3.8
职业发展
3.0
管理层
2.5
65%
推荐给朋友
优点
Good benefits and compensation
Supportive and collaborative environment
Flexible work arrangements
缺点
Long hours and heavy workload
Management issues and lack of direction
High stress during peak times
薪资范围
41个数据点
Analyst
Junior/L3
Mid/L4
Senior/L5
Analyst · Analyst, Investment Banking
6份报告
$126,500
年薪总额
基本工资
$110,000
股票
-
奖金
-
$103,500
$201,250
面试经验
5次面试
难度
3.0
/ 5
时长
14-28周
录用率
40%
体验
正面 20%
中性 80%
负面 0%
面试流程
1
Application Review
2
HireVue Video Interview
3
Recruiter Screen
4
Superday/Panel Interview
5
Final Interview
6
Offer
常见问题
Behavioral/STAR
Technical Knowledge
Culture Fit
Past Experience
Case Study
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