JPMorgan Chase & Co. (NYSE: JPM) is a leading global financial services firm with assets of $2.7 trillion and operations worldwide. The firm is a leader in investment banking, financial services for consumers and small business, commercial banking, financial transaction processing, and asset management. A component of the Dow Jones Industrial Average, JPMorgan Chase & Co. serves millions of consumers in the United States and many of the world's most prominent corporate, institutional and government clients under its J.P. Morgan and Chase brands. Information about JPMorgan Chase & Co. is available at www.jpmorganchase.com. What it Means To Work Here Here, you'll feel welcomed and valued. Our clients, transactions, deals and projects are global so we work hard to create diverse, inclusive teams that support our business and each other. Learn about our culture here Our Team: The Collateral Risk, Stress and Margining (CRSM) works within Credit Risk to measure and manage the risk generated from trading activities with JP Morgan clients across all asset classes, products, and client types. Clients of the group include senior management, business heads, regulators, and both internal and external audit with Client coverage focused primarily for Hedge Funds and traditional Asset Managers but also including Banks, Broker-Dealers, Insurance Companies, Pensions and Corporates, organized along business lines including Corporate & Investment Bank (Macro Products, Credit, Equities, Securitized Products, IB Risk), CIO, Treasury & Corporate (CTC), Asset Management, Consumer & Community Banking (CCB) and Commercial Banking (CB). Our group represents the firm on multiple governance & regulatory forums and works closely with Credit Officers, Trading Desks, the Clearing Business, Credit Portfolio Group Traders, the Prime Finance business, Quants, Market Risk and Middle Office to provide regular updates and risk summaries to senior risk and business management. You might need to address initial margin & other collateral disputes in an advisory capacity. Core Responsibilities: The successful candidate will have to independently manage the following activities: Help Credit Risk and the Investment Banks Trading, Clearing, and Prime Brokerage businesses manage the contingent market risks facing clients when trading with JP Morgan.
Website: www.jpmorganchase.com
Profile offered: Finance Executive
Job location: Mumbai
Course Specialization: Any graduate in any specialization,any postgrdauation in any specialization.
Desired Experience: 0 - 5 years
Skills Required, Experience and Qualifications:
Excellent academic background with a Masters degree in a technical field, such as Math, Science, Engineering, Statistics or Quant Finance.
Attention to detail: thorough and persistent in delivering production quality analytics, ability to ask pertinent questions and escalate issues with a risk mindset.
Familiar with Standard Initial Margin Model, VaR, benchmarking exercises, stress testing, backtesting & various return measures in prior roles.
Very strong problem solving ability and quantitative aptitude preferred.
Strong communication & verbal skills is a must.
Education:
B.A., B.Com., B.Tech/B.E., BFM, BMS, M.A., M.Tech./M.E.
Work Experience:
0 - 5 Years
Salary
Confidential
Industry
Banking & Finance