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.

Market Risk Vice President

ExperiencedNo visa sponsorship
J.P. Morgan logo

at J.P. Morgan

Bulge Bracket Investment Banks

Posted 3 days ago

No clicks

**Market Risk Vice President:** Lead market risk management for Chief Investment Office and Corporate Treasury, promoting efficient risk/return decisions and transparent risk profiles. Role requires extensive risk management experience, fixed income markets expertise, and strong communication skills. Key responsibilities include producing bespoke analytics, presenting top risks, and collaborating with quantitative teams for model enhancements. Essential skills include understanding of risk governance, stress testing, and proficiency in Excel/VBA/Bloomberg. Join our dynamic, collaborative team in LONDON.

Compensation
Not specified

Currency: Not specified

City
London
Country
United Kingdom

Full Job Description

Location: LONDON, LONDON, United Kingdom

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. 

Chief Investment Office, Treasury and Corporate (CTC) Risk manages the risk of the retained portfolio generated from the Chief Investment Office (CIO), Global Treasury, and other Corporate businesses (Firm-wide Pension Plan, Insurance programs, and Mortgage Servicing Rights.    

 

As a Market Risk Vice President in the Chief Investment Office and Corporate Treasury business team, you will support Portfolio Managers to facilitate efficient risk/return decisions, reduce volatility in operating performance and ensure that the business market risk profile is transparent to senior management, the Board of Directors and regulators.  

 

Job Responsibilities:  

  • Develop expertise in fixed income market and CTCs corresponding portfolios; produce bespoke analytics and apply research topics to the investment portfolio, pre-trade investment reviews and limit updates 
  • Highlight and discuss risk changes and top risks, present deep dives to CTC Risk colleagues and senior risk management 
  • Monitor market risk positions - with the aim to identify material risk exposures and concentrations.  
  • Synthesize top-of-mind research topics relevant to the investment portfolios into analysis and special reports.  Analyze macroeconomic variables and understand the impact to financial projections.   
  • 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.  
  • Push efficiencies and process improvements and be involved in driving technology initiatives 
  • Improve risk transparency, methodologies and reports by collaborating with quantitative teams on model results and implementation such as Quantitative Research (QR) and Model Review Group (MRG) 
  • Contribute to CTC Risk standards and best practices by collaborating with other risk groups; represent CTC Market Risk in various related initiatives and ensure timely delivery of projects  
  • Respond to urgent ad-hoc requests from senior risk management 

 

 

Required qualifications, capabilities, and skills:

 

  • Extensive experience in risk management and/or fixed income / securitized products. 
  • Understanding of fixed income markets with a particular focus on Rates and FX 
  • Understanding of the governance and controls surrounding risk monitoring including, VaR, stress testing, various return measures and experience with stress construction 
  • Excellent written and spoken communication skills with ability to explain technical concepts in practical terms; must be able to converse with a wide variety of groups  
  • Demonstrated ability to work effectively and independently across different businesses and functional areas with thorough attention to detail in a high-pressure environment 
  • Ability to challenge the portfolio manager's market positions and views and help assess the best allocation of risk and capital to various positions and businesses 
  • Self-motivated, diligent, strong sense of accountability and good at following up on issues  
  • Strong technical skills in Excel/VBA/Bloomberg; ability to learn how to use core business and risk systems 
  • Excellent academic record and an undergraduate degree are required;
Great chance to join Market Risk team!

Market Risk Vice President

Compensation

Not specified

City: London

Country: United Kingdom

J.P. Morgan logo
Bulge Bracket Investment Banks

3 days ago

No clicks

at J.P. Morgan

ExperiencedNo visa sponsorship

**Market Risk Vice President:** Lead market risk management for Chief Investment Office and Corporate Treasury, promoting efficient risk/return decisions and transparent risk profiles. Role requires extensive risk management experience, fixed income markets expertise, and strong communication skills. Key responsibilities include producing bespoke analytics, presenting top risks, and collaborating with quantitative teams for model enhancements. Essential skills include understanding of risk governance, stress testing, and proficiency in Excel/VBA/Bloomberg. Join our dynamic, collaborative team in LONDON.

Full Job Description

Location: LONDON, LONDON, United Kingdom

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. 

Chief Investment Office, Treasury and Corporate (CTC) Risk manages the risk of the retained portfolio generated from the Chief Investment Office (CIO), Global Treasury, and other Corporate businesses (Firm-wide Pension Plan, Insurance programs, and Mortgage Servicing Rights.    

 

As a Market Risk Vice President in the Chief Investment Office and Corporate Treasury business team, you will support Portfolio Managers to facilitate efficient risk/return decisions, reduce volatility in operating performance and ensure that the business market risk profile is transparent to senior management, the Board of Directors and regulators.  

 

Job Responsibilities:  

  • Develop expertise in fixed income market and CTCs corresponding portfolios; produce bespoke analytics and apply research topics to the investment portfolio, pre-trade investment reviews and limit updates 
  • Highlight and discuss risk changes and top risks, present deep dives to CTC Risk colleagues and senior risk management 
  • Monitor market risk positions - with the aim to identify material risk exposures and concentrations.  
  • Synthesize top-of-mind research topics relevant to the investment portfolios into analysis and special reports.  Analyze macroeconomic variables and understand the impact to financial projections.   
  • 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.  
  • Push efficiencies and process improvements and be involved in driving technology initiatives 
  • Improve risk transparency, methodologies and reports by collaborating with quantitative teams on model results and implementation such as Quantitative Research (QR) and Model Review Group (MRG) 
  • Contribute to CTC Risk standards and best practices by collaborating with other risk groups; represent CTC Market Risk in various related initiatives and ensure timely delivery of projects  
  • Respond to urgent ad-hoc requests from senior risk management 

 

 

Required qualifications, capabilities, and skills:

 

  • Extensive experience in risk management and/or fixed income / securitized products. 
  • Understanding of fixed income markets with a particular focus on Rates and FX 
  • Understanding of the governance and controls surrounding risk monitoring including, VaR, stress testing, various return measures and experience with stress construction 
  • Excellent written and spoken communication skills with ability to explain technical concepts in practical terms; must be able to converse with a wide variety of groups  
  • Demonstrated ability to work effectively and independently across different businesses and functional areas with thorough attention to detail in a high-pressure environment 
  • Ability to challenge the portfolio manager's market positions and views and help assess the best allocation of risk and capital to various positions and businesses 
  • Self-motivated, diligent, strong sense of accountability and good at following up on issues  
  • Strong technical skills in Excel/VBA/Bloomberg; ability to learn how to use core business and risk systems 
  • Excellent academic record and an undergraduate degree are required;
Great chance to join Market Risk team!