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Risk Analyst Structured Finance

ExperiencedNo visa sponsorship
J.P. Morgan logo

at J.P. Morgan

Bulge Bracket Investment Banks

Posted 12 days ago

No clicks

**Risk Analyst Structured Finance** in Mumbai, India evaluates, underwrites, and monitors asset-backed portfolios. Collaborate cross-functionally to analyze risks, structure financing, and execute transactions. Key responsibilities include financial analysis, risk identification, using AI tools, and active portfolio management. Required skills span credit/underwriting credentials, strong analytical skills, Microsoft Office Suite proficiency, and excellent communication. This role offers a challenging opportunity in the Risk function, acting as a second line of defense.

Compensation
Not specified

Currency: Not specified

City
Mumbai
Country
India

Full Job Description

Location: Mumbai, Maharashtra, India

As a Risk Analyst Structured Finance within APAC&EMEA Structured Finance Team, you will work, together with more senior members of the team, on the evaluation, underwriting, and monitoring of a diverse portfolio in the Asset-Backed markets including Public ABS, Private Asset Back Financing, conduits and other SPVs. You will partner with Securitized Products, Corporate and Investment Bankers, Treasury Services and Traders to analyze, structure, risk grade, and approve credit exposures. You will be working closely with clients and internal partners to assess creditworthiness, structure financing solutions, and execute transactions. 

Job responsibilities:

  • Perform financial analysis and identify key risks and strengths in transactions
  • Understand financial products and apply relevant policies and systems
  • Use AI tools to support analysis and improve efficiency
  • Manage actively portfolios and respond reliably to queries
  • Communicate clearly through emails, memos, and presentations
  • Collaborate with stakeholders and participate in meetings
  • Maintain professionalism, ethics, and a positive attitude

 

Required qualifications, capabilities, and skills:

  • Some credit/underwriting credentials, analytical skills
  • Possess strong analytical and modeling skills
  • Proficiency in Microsoft Office Suite, especially Excel, PowerPoint, and Word
  • Highly motivated with a natural passion to learn and an inquisitive personality
  • Strong interpersonal skills and an ability to work well in a team environment
  • Strong sense of accountability and ownership of tasks
  • Interest in client interaction with strong verbal and written communication skills
  • Ability to perform well under pressure in a demanding environment managing multiple tasks at the same time
  • Strong attention to detail and an excellent work ethic
This is a great opportunity to join the Risk function that provides credible challenge to the business as a second line of defense to keep the firm strong and resilient. Wholesale Credit Risk function oversee the credit risk associated with Investment Bank clients as well as the firms wholesale credit portfolio.

Risk Analyst Structured Finance

Compensation

Not specified

City: Mumbai

Country: India

J.P. Morgan logo
Bulge Bracket Investment Banks

12 days ago

No clicks

at J.P. Morgan

ExperiencedNo visa sponsorship

**Risk Analyst Structured Finance** in Mumbai, India evaluates, underwrites, and monitors asset-backed portfolios. Collaborate cross-functionally to analyze risks, structure financing, and execute transactions. Key responsibilities include financial analysis, risk identification, using AI tools, and active portfolio management. Required skills span credit/underwriting credentials, strong analytical skills, Microsoft Office Suite proficiency, and excellent communication. This role offers a challenging opportunity in the Risk function, acting as a second line of defense.

Full Job Description

Location: Mumbai, Maharashtra, India

As a Risk Analyst Structured Finance within APAC&EMEA Structured Finance Team, you will work, together with more senior members of the team, on the evaluation, underwriting, and monitoring of a diverse portfolio in the Asset-Backed markets including Public ABS, Private Asset Back Financing, conduits and other SPVs. You will partner with Securitized Products, Corporate and Investment Bankers, Treasury Services and Traders to analyze, structure, risk grade, and approve credit exposures. You will be working closely with clients and internal partners to assess creditworthiness, structure financing solutions, and execute transactions. 

Job responsibilities:

  • Perform financial analysis and identify key risks and strengths in transactions
  • Understand financial products and apply relevant policies and systems
  • Use AI tools to support analysis and improve efficiency
  • Manage actively portfolios and respond reliably to queries
  • Communicate clearly through emails, memos, and presentations
  • Collaborate with stakeholders and participate in meetings
  • Maintain professionalism, ethics, and a positive attitude

 

Required qualifications, capabilities, and skills:

  • Some credit/underwriting credentials, analytical skills
  • Possess strong analytical and modeling skills
  • Proficiency in Microsoft Office Suite, especially Excel, PowerPoint, and Word
  • Highly motivated with a natural passion to learn and an inquisitive personality
  • Strong interpersonal skills and an ability to work well in a team environment
  • Strong sense of accountability and ownership of tasks
  • Interest in client interaction with strong verbal and written communication skills
  • Ability to perform well under pressure in a demanding environment managing multiple tasks at the same time
  • Strong attention to detail and an excellent work ethic
This is a great opportunity to join the Risk function that provides credible challenge to the business as a second line of defense to keep the firm strong and resilient. Wholesale Credit Risk function oversee the credit risk associated with Investment Bank clients as well as the firms wholesale credit portfolio.