
at J.P. Morgan
Bulge Bracket Investment BanksPosted 6 days ago
No clicks
**Capital Risk Vice President**: Support capital risk policy and governance at JPMorgan Chase. Duties include independent policy interpretation, challenge to capital methodologies, and collaboration with cross-functional teams. Required: 2+ years in Market Risk/Capital Risk, advanced degree in finance/mathematics, and deep understanding of regulatory capital. Excel, Python proficiency preferred.
- Compensation
- Not specified
- City
- Brooklyn
- Country
- United States
Currency: Not specified
Full Job Description
Location: Brooklyn, NY, United States
- Support the firms capital governance framework through independent challenge and policy interpretationProvide timely, well-supported challenge to internal capital policy guidance and exposure categorizationReview market risk pricing models, analytical tools, and calculators for alignment with Market Risk Capital RulesPartner with model development and model risk/validation teams to track findings and support remediationReview proof of implementation testing of regulatory capital calculatorsContribute to monitoring market and macroeconomic drivers to assess impacts on Risk-Weighted Assets and capital requirementsAssist with scenario analysis to support capital planning and stress testingWork with Capital Risk Coverage, Analytics, and Technology teams to enhance dashboards and analytical toolsDrive process improvement and automation in capital-related analysis and reportingSupport ad hoc analysis and management/regulatory-ready materials for senior stakeholdersRequired qualifications, capabilities, and skills:
- 2 years of relevant experience in Market Risk, Capital Risk, Capital Risk Policy, or related risk functionAdvanced degree in Finance, Mathematics, Financial Engineering, or related quantitative disciplineDeep understanding of regulatory capital regulations, calculation methodologies, and governance for market risk / FRTBWorking knowledge of regulatory capital frameworks and concepts relevant to market riskGood understanding of fixed income and equity market risk, including derivatives and hedging conceptsStrong interpersonal skills and collaborative approachOrganized and detail-oriented, able to manage multiple deliverablesProficiency in Excel and working experience with Python (or similar) for analysis and reportingPreferred qualifications, capabilities, and skills:
- Experience supporting work tied to FRTB regulatory cycle in a GSIBFamiliarity with Basel 2.5 and/or FRTB, GSIB, SLR, and TLACExperience with process improvement and automation in capital-related analysisAbility to engage with model developers and review model documentationExperience working with cross-functional teamsStrong communication skillsExperience in a large financial institutionSupport capital risk policy and governance, ensuring compliance and driving process improvements at JPMorgan Chase.Apply now
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Capital Risk Vice President
Compensation
Not specified
City: Brooklyn
Country: United States
ExperiencedNo visa sponsorship**Capital Risk Vice President**: Support capital risk policy and governance at JPMorgan Chase. Duties include independent policy interpretation, challenge to capital methodologies, and collaboration with cross-functional teams. Required: 2+ years in Market Risk/Capital Risk, advanced degree in finance/mathematics, and deep understanding of regulatory capital. Excel, Python proficiency preferred.
Full Job Description
Location: Brooklyn, NY, United States
Bring your Expertise to JPMorgan Chase. 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 Capital Risk Vice President or Senior Associate in the Capital Risk Policy group, you support independent interpretation of regulatory capital requirements and provide effective challenge to capital-related methodologies. You help ensure consistent application of market risk capital requirements and associated governance. You deliver the firms capital risk objectives and maintain strong capital risk governance. You contribute to a collaborative environment focused on responsible growth and innovation.Job responsibilities:- Support the firms capital governance framework through independent challenge and policy interpretationProvide timely, well-supported challenge to internal capital policy guidance and exposure categorizationReview market risk pricing models, analytical tools, and calculators for alignment with Market Risk Capital RulesPartner with model development and model risk/validation teams to track findings and support remediationReview proof of implementation testing of regulatory capital calculatorsContribute to monitoring market and macroeconomic drivers to assess impacts on Risk-Weighted Assets and capital requirementsAssist with scenario analysis to support capital planning and stress testingWork with Capital Risk Coverage, Analytics, and Technology teams to enhance dashboards and analytical toolsDrive process improvement and automation in capital-related analysis and reportingSupport ad hoc analysis and management/regulatory-ready materials for senior stakeholdersRequired qualifications, capabilities, and skills:
- 2 years of relevant experience in Market Risk, Capital Risk, Capital Risk Policy, or related risk functionAdvanced degree in Finance, Mathematics, Financial Engineering, or related quantitative disciplineDeep understanding of regulatory capital regulations, calculation methodologies, and governance for market risk / FRTBWorking knowledge of regulatory capital frameworks and concepts relevant to market riskGood understanding of fixed income and equity market risk, including derivatives and hedging conceptsStrong interpersonal skills and collaborative approachOrganized and detail-oriented, able to manage multiple deliverablesProficiency in Excel and working experience with Python (or similar) for analysis and reportingPreferred qualifications, capabilities, and skills:
- Experience supporting work tied to FRTB regulatory cycle in a GSIBFamiliarity with Basel 2.5 and/or FRTB, GSIB, SLR, and TLACExperience with process improvement and automation in capital-related analysisAbility to engage with model developers and review model documentationExperience working with cross-functional teamsStrong communication skillsExperience in a large financial institutionSupport capital risk policy and governance, ensuring compliance and driving process improvements at JPMorgan Chase.
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