LOG IN
SIGN UP
Canary Wharfian - Online Investment Banking & Finance Community.
Sign In
or continue with e-mail and password
Forgot password?
Don't have an account?
Create an account
or continue with e-mail and password
By signing up, you agree to our Terms & Conditions and Privacy Policy.

EMEA Market Risk Analyst/Associate

ExperiencedNo visa sponsorship
J.P. Morgan logo

at J.P. Morgan

Bulge Bracket Investment Banks

Posted 12 days ago

1 click

**EMEA Market Risk Analyst/Associate**: Monitor & analyze key market risks across multiple asset classes. Investigate risk changes, support governance, and collaborate with stakeholders. Proficient in Excel, strong attention to detail required. Join the UK Legal Entity Market Risk team at a global financial institution.

Compensation
Not specified GBP

Currency: £ (GBP)

City
London
Country
United Kingdom

Full Job Description

Location: LONDON, United Kingdom

Play a key role in ensuring market risks are understood, controlled, and communicated across a leading global financial institution. Join the UK Legal Entity Market Risk team and gain exposure to a wide range of asset classes and risk frameworks. You will investigate risk drivers, support governance, and contribute to improving market risk processes. This role offers strong visibility and collaboration with risk, and senior stakeholders.

As a Market Risk Analyst/Associate in the Legal Entity Market Risk team, you monitor and oversee key market risks of the main risks in the UK entities across multiple asset classes. You analyse risk metrics such as value at risk, sensitivities, and stress testing, and investigate changes in risk and profit and loss. We work together to ensure risks are properly identified, measured, and controlled while supporting governance and reporting. You will collaborate closely with the asset class aligned coverage teams, and other support functions to enhance the market risk framework and deliver effective risk oversight.

Job responsibilities

  • Monitor and control key market risks in cooperation with asset class aligned Market Risk teams
  • Investigate changes in sensitivities, value at risk, stress testing, and profit and loss, and provide explanations to senior management
  • Monitor and maintain market risk limits, including providing oversight and challenge
  • Conduct risk analysis on new trades and market events, assessing impact on exposures
  • Support the ongoing development of the Market Risk framework, including risk reporting and documentation updates
  • Prepare and maintain risk governance materials and ensure alignment with policies and procedures
  • Respond to inquiries from regulators and internal and external auditors
  • Collaborate with teams across Market Risk Coverage, Legal Entity Risk, Risk Reporting, Middle Office, Treasury, Finance, Technology, and Quantitative Research
  • Contribute to improving risk processes and analytical capabilities within the team

 

Required qualifications, capabilities, and skills

  • Bachelors degree or equivalent academic background
  • Strong interest in financial markets and derivative products
  • Proficiency in Excel, including ability to analyse large datasets
  • Strong attention to detail and problem-solving skills
  • Ability to investigate and explain changes in risk metrics and profit and loss
  • Strong communication skills with proficiency in written and spoken English
  • Ability to build relationships and work effectively across a wide range of teams
  • Motivation and ability to manage tasks and deliver outcomes
This role sits within the UK Market Risk team, responsible for overseeing and monitoring key market risks of the main risks in the UK entities across multiple asset classes. You will analyse risk metrics (e.g. VaR, sensitivities, stress testing), investigate changes in risk and P&L, and support risk governance and provide explains to senior management. You will work closely with the asset class aligned coverage teams, and other support teams.

EMEA Market Risk Analyst/Associate

Compensation

Not specified GBP

City: London

Country: United Kingdom

J.P. Morgan logo
Bulge Bracket Investment Banks

12 days ago

1 click

at J.P. Morgan

ExperiencedNo visa sponsorship

**EMEA Market Risk Analyst/Associate**: Monitor & analyze key market risks across multiple asset classes. Investigate risk changes, support governance, and collaborate with stakeholders. Proficient in Excel, strong attention to detail required. Join the UK Legal Entity Market Risk team at a global financial institution.

Full Job Description

Location: LONDON, United Kingdom

Play a key role in ensuring market risks are understood, controlled, and communicated across a leading global financial institution. Join the UK Legal Entity Market Risk team and gain exposure to a wide range of asset classes and risk frameworks. You will investigate risk drivers, support governance, and contribute to improving market risk processes. This role offers strong visibility and collaboration with risk, and senior stakeholders.

As a Market Risk Analyst/Associate in the Legal Entity Market Risk team, you monitor and oversee key market risks of the main risks in the UK entities across multiple asset classes. You analyse risk metrics such as value at risk, sensitivities, and stress testing, and investigate changes in risk and profit and loss. We work together to ensure risks are properly identified, measured, and controlled while supporting governance and reporting. You will collaborate closely with the asset class aligned coverage teams, and other support functions to enhance the market risk framework and deliver effective risk oversight.

Job responsibilities

  • Monitor and control key market risks in cooperation with asset class aligned Market Risk teams
  • Investigate changes in sensitivities, value at risk, stress testing, and profit and loss, and provide explanations to senior management
  • Monitor and maintain market risk limits, including providing oversight and challenge
  • Conduct risk analysis on new trades and market events, assessing impact on exposures
  • Support the ongoing development of the Market Risk framework, including risk reporting and documentation updates
  • Prepare and maintain risk governance materials and ensure alignment with policies and procedures
  • Respond to inquiries from regulators and internal and external auditors
  • Collaborate with teams across Market Risk Coverage, Legal Entity Risk, Risk Reporting, Middle Office, Treasury, Finance, Technology, and Quantitative Research
  • Contribute to improving risk processes and analytical capabilities within the team

 

Required qualifications, capabilities, and skills

  • Bachelors degree or equivalent academic background
  • Strong interest in financial markets and derivative products
  • Proficiency in Excel, including ability to analyse large datasets
  • Strong attention to detail and problem-solving skills
  • Ability to investigate and explain changes in risk metrics and profit and loss
  • Strong communication skills with proficiency in written and spoken English
  • Ability to build relationships and work effectively across a wide range of teams
  • Motivation and ability to manage tasks and deliver outcomes
This role sits within the UK Market Risk team, responsible for overseeing and monitoring key market risks of the main risks in the UK entities across multiple asset classes. You will analyse risk metrics (e.g. VaR, sensitivities, stress testing), investigate changes in risk and P&L, and support risk governance and provide explains to senior management. You will work closely with the asset class aligned coverage teams, and other support teams.