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Associate - Global Fixed Income Currency and Commodities

ExperiencedNo visa sponsorship
J.P. Morgan logo

at J.P. Morgan

Bulge Bracket Investment Banks

Posted 6 days ago

No clicks

**Associate - Global Fixed Income Currency and Commodities (GFICC)** Manage and enhance risk reporting for GFICC portfolios. Coordinate with stakeholders, define business requirements, and deliver innovative solutions. Leverage advanced Excel skills, proficiency in Python and SQL, and VBA programming for dynamic data analysis. Develop and maintain daily, weekly, and monthly risk reports, managing a support team based in India. Respond to ad hoc data requests with urgency. Required: Post-graduate degree, minimum 3 years' financial markets experience, strong quantitative, analytical, and communication skills. Preferred: FRM/CFA credentials, experience with Bloomberg, Tableau, Barra One, Risk Metrics.

Compensation
Not specified

Currency: Not specified

City
Mumbai
Country
India

Full Job Description

Location: Mumbai, Maharashtra, India

You are a strategic thinker passionate about driving solutions in Fixed Income Risk Reporting & Analytics. You have found the right team.

As Fixed Income Risk Reporting & Analytics professional within our dynamic team, you will be responsible for setting and improving our organizational objectives, and ensuring their consistent accomplishment.

Job Responsibilities

  • Coordinate with stakeholders to scope and initiate new risk reporting or analytics to support GFICC(
    Global Fixed Income Currency and Commodity )portfolio risk analysis.
  • Identify business requirements, translate them into functional specifications, and deliver automated solutions to improve efficiency.
  • Lead and coach the India-based support team to ensure timely and accurate delivery.
  • Run and maintain daily, weekly, and monthly portfolio/market risk reports for separately managed accounts and funds for portfolio managers.
  • Compile risk data, perform bond analytics, and produce daily reporting using internal JPMorganChase or external tools.
  • Assist with weekly management reporting, summarizing strategy attribution and key risk metrics.
  • Prepare materials and discuss portfolio risk in monthly management meetings.
  • Support quarterly reviews of fixed income strategy risk.
  • Execute ad hoc risk projects, including stress testing, as needed.
  • Respond to ad hoc data requests and evolving reporting needs with urgency and accuracy.
  • Participate in weekly meetings, information shares, and fund webcasts to stay aligned with stakeholders.
  • Required qualifications, capabilities and skills

  • Hold a Post Graduate degree  with at least 3 years of experience in financial markets and strong technical skills.
  • Demonstrate excellent written and verbal communication skills.
  • Apply strong quantitative and analytical skills, including data analysis and understanding of data flows across large databases.
  • Exhibit solid understanding of fixed income products and the asset management business.
  • Use Microsoft Word, PowerPoint, and Outlook proficiently.
  • Leverage advanced Microsoft Excel skills.
  • Program in Python and SQL, and build/debug advanced VBA (including Excel VBA macros).
  • Deliver with strong attention to detail and commitment to accuracy.
  • Show delivery focus with strong ownership and follow-through.
  • Demonstrate strong business acumen and resource management skills.
  • Manage multiple priorities effectively by multitasking and organizing time well.
  • Preferred qualifications, capabilities and skills

  • Pursue FRM or CFA credentials.
  • Bring prior experience with tools such as Bloomberg, Tableau, Barra One, and Risk Metrics.
  • Drive fixed income risk reporting & analytics, automate insights, and coach teams to strengthen GFICC portfolio oversight.

    Associate - Global Fixed Income Currency and Commodities

    Compensation

    Not specified

    City: Mumbai

    Country: India

    J.P. Morgan logo
    Bulge Bracket Investment Banks

    6 days ago

    No clicks

    at J.P. Morgan

    ExperiencedNo visa sponsorship

    **Associate - Global Fixed Income Currency and Commodities (GFICC)** Manage and enhance risk reporting for GFICC portfolios. Coordinate with stakeholders, define business requirements, and deliver innovative solutions. Leverage advanced Excel skills, proficiency in Python and SQL, and VBA programming for dynamic data analysis. Develop and maintain daily, weekly, and monthly risk reports, managing a support team based in India. Respond to ad hoc data requests with urgency. Required: Post-graduate degree, minimum 3 years' financial markets experience, strong quantitative, analytical, and communication skills. Preferred: FRM/CFA credentials, experience with Bloomberg, Tableau, Barra One, Risk Metrics.

    Full Job Description

    Location: Mumbai, Maharashtra, India

    You are a strategic thinker passionate about driving solutions in Fixed Income Risk Reporting & Analytics. You have found the right team.

    As Fixed Income Risk Reporting & Analytics professional within our dynamic team, you will be responsible for setting and improving our organizational objectives, and ensuring their consistent accomplishment.

    Job Responsibilities

  • Coordinate with stakeholders to scope and initiate new risk reporting or analytics to support GFICC(
    Global Fixed Income Currency and Commodity )portfolio risk analysis.
  • Identify business requirements, translate them into functional specifications, and deliver automated solutions to improve efficiency.
  • Lead and coach the India-based support team to ensure timely and accurate delivery.
  • Run and maintain daily, weekly, and monthly portfolio/market risk reports for separately managed accounts and funds for portfolio managers.
  • Compile risk data, perform bond analytics, and produce daily reporting using internal JPMorganChase or external tools.
  • Assist with weekly management reporting, summarizing strategy attribution and key risk metrics.
  • Prepare materials and discuss portfolio risk in monthly management meetings.
  • Support quarterly reviews of fixed income strategy risk.
  • Execute ad hoc risk projects, including stress testing, as needed.
  • Respond to ad hoc data requests and evolving reporting needs with urgency and accuracy.
  • Participate in weekly meetings, information shares, and fund webcasts to stay aligned with stakeholders.
  • Required qualifications, capabilities and skills

  • Hold a Post Graduate degree  with at least 3 years of experience in financial markets and strong technical skills.
  • Demonstrate excellent written and verbal communication skills.
  • Apply strong quantitative and analytical skills, including data analysis and understanding of data flows across large databases.
  • Exhibit solid understanding of fixed income products and the asset management business.
  • Use Microsoft Word, PowerPoint, and Outlook proficiently.
  • Leverage advanced Microsoft Excel skills.
  • Program in Python and SQL, and build/debug advanced VBA (including Excel VBA macros).
  • Deliver with strong attention to detail and commitment to accuracy.
  • Show delivery focus with strong ownership and follow-through.
  • Demonstrate strong business acumen and resource management skills.
  • Manage multiple priorities effectively by multitasking and organizing time well.
  • Preferred qualifications, capabilities and skills

  • Pursue FRM or CFA credentials.
  • Bring prior experience with tools such as Bloomberg, Tableau, Barra One, and Risk Metrics.
  • Drive fixed income risk reporting & analytics, automate insights, and coach teams to strengthen GFICC portfolio oversight.