Risk Management - Capital Risk Management - Associate
JPMorgan Chase & Co.
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 an Associate in Capital Risk Management, you will provide independent oversight of capital risk across the firm. CRM’s responsibilities include: defining, monitoring and reporting capital risk metrics; establishing, calibrating and monitoring capital risk limits and indicators, including capital risk appetite; developing processes to classify, monitor and report capital limit breaches; performing assessments of the firm’s capital management activities, including changes made to the Contingency Capital Plan; and conducing independent review of the firm’s interpretation of and compliance with the applicable regulatory capital Job Responsibilities * Monitor regulatory capital metrics against capital risk limits and indicators; ensure accuracy of capital metrics being reported; analyze and escalate breaches as needed * Guide process improvements and automations and develop new analytical capacities leveraging AI, LLM, etc. * Analyze variances in capital metrics (such as Risk Weighted Assets, Leverage Exposure, CET1, Tier 1, Total Capital, TLAC and LTD capital) * Independently assess, review, and challenge the firm’s capital management activities such as capital forecasts, capital actions, RWA / SCB / GSIB optimizations, internal targets, allocations, stress-test (CCAR) scenarios and results * Conduct deep dives impacting firm’s capital such as changes in regulatory requirements, firms risk and/or balance sheet, market dynamics and present findings to senior management * Prepare board-level analysis and supporting presentations for senior / executive management forums * Monitor current and emerging risks across asset classes under coverage; stay up-to-date with market news, regulations and peer bank activity * Frequent interactions with the key members of capital management, capital P&A, line of businesses, controllers and various support functions Required qualifications, skills and capabilities * 2+ years experience in capital, liquidity, market risk and / or other risk areas; Treasury / Finance background * Advanced degree in Finance, Mathematics, Financial Engineering, or a related quantitative discipline; certification or enrollment in CFA * Demonstrated proficiency in one or more of the following areas: LLM, Python, Tableau, Snowflake, Databricks, SQL, dashboard building * Ability to quickly grasp new / unfamiliar concepts and assess potential risks to the firm’s capital position * Strong knowledge of financial markets and various asset classes (retail and wholesale loans, repos, margin loans, OTC derivatives, trading securities etc.)
- Understanding of balance sheet and income statement fundamentals
- Experienced in data-driven and fluent storytelling via PowerPoint and adept
- ...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... ...assessment, measurement, monitoring, and control of capital risk across North America Establish, calibrate, and oversee capital...Suggested
$85k - $120k
...Sachs At Goldman Sachs, we connect people, capital and ideas to help solve problems for our... ...banking, securities and investment management services to a substantial and diversified... ...strong quantitative analysis skills and risk management capabilities since Treasury actively...SuggestedFull timeTemporary workPart time$120k - $200k
Job Description The Associate Director, Market Risk Capital (CCAR & FRTB) will lead the implementation and execution of Global Market Shock and Internal... ...to CCAR stress testing, FRTB implementation, Capital Management, Regulatory Capital, or Market Risk Strong knowledge...SuggestedFlexible hours- MUFG in New York is seeking a Structurer/Portfolio Manager for Working Capital and Trade Finance. You will support origination, structure client-specific... .... The position is hybrid in NYC with a strong emphasis on risk management and client servicing. #J-18808-Ljbffr...Suggested
$148k - $223k
## Structurer/Portfolio Manager - Working Capital & Trade FinanceApplylocations: New York, NYtime type... ...managers, credit divisions, risk management, legal, back-office/implementation... ...(FINRA) and the National Futures Association (NFA). The major responsibilities listed...SuggestedWork at officeLocal areaRemote work- ...development. You will collaborate with management to advance our data and... ...sit at the intersection of capital markets and AI, partnering... ...diligence, strengthen portfolio and risk decisions, and unlock new... ...use our products — analysts, associates, and vice presidents on deal...Work experience placementWork at officeRelocation package
- ...JPMorgan Chase and play a pivotal role in Risk Management and Compliance, ensuring the firm's... ...Risk Management - Program Management - Associate, you'll support the management of model... ...role in regulatory, audit, and critical capital stress testing exercises such as CCAR....
$110k - $130k
Morgan Stanley Investment Management (“MSIM”), together with its investment... .... WE OFFER The Global Risk & Analysis Group (GRA) team... ...projects. In addition, the Senior Associate will perform data analysis,... ...raise, manage and allocate capital for our clients - helping them...Temporary workWorldwide$100k - $170k
Job Description Asset & Wealth Management (AWM) is the primary investing area within Goldman... ...investments, secondary‑market investments and seed‑capital investments. With over 400 professionals... ...diligence, portfolio construction, risk management and liquidity solutions to...Full timeTemporary workPart time- ...expertise to JPMorganChase. As part of Risk Management and Compliance, you play a crucial role... ...be best-in-class. As a Quant Model Risk Associate in the Model Risk Governance and Review... ...used for valuation, risk measurement, capital calculation, and decision-making purposes...
$135k - $200k
Project Finance Vice President - Credit Risk Portfolio Management (Associate or VP) - NY page is loaded Project Finance Vice President - Credit Risk... ...federal, state, or local law. Similar Jobs (3) Working Capital & Trade Finance - Vice President or Associate locations...Full timeWork experience placementWork at officeLocal areaRemote work- Join JPMorgan Chase's Risk Management and Compliance team, where your expertise helps safeguard... ...landscape. As an Interest Rate Risk Associate in the Treasury and Chief Investment Office... ...to related risks (Liquidity and Capital Risk) Independently assess IRR strategies...Work at office
$127k - $211.5k
...strategy, and framework for the Operational Risk scenario analysis program, aligning to... ...: ~ Bachelor’s degree in finance, Risk Management, Economics, Business, Engineering, or related... ...with operational risk frameworks and capital activities (e.g., Basel/ICAAP/CCAR), risk...Temporary work$100k - $140k
...Firm Risk Management Firm Risk Management (FRM) supports Morgan Stanley to achieve its business goals by partnering with business units across... ...to Firm management for setting risk appetite and allocating capital, and be an industry leader to influence and meet regulatory...Temporary work$188.18k
...Job Description Responsible for risk analysis and independent oversight of credit... ...maintaining internal controls that effectively manage risk. Reviewing and challenging new... ...Structured Credit, or Securitization products. Capital Markets activities related to CLO and...Full timeWork experience placementRemote workMonday to Friday1 day per week$175k - $250k
...The D.E.Shaw group seeks an experienced market risk manager to join its firmwide risk analysis and management team. This individual will... ...engage in firmwide activities relating to investment screening, capital allocation, hedging strategies, and risk reporting. What you’...$150k - $170k
...address your business's unique risks. Position Summary The Quantitative Enterprise Risk Manager plays a key role in advancing the... ..., with a primary focus on capital modeling, solvency assessment,... ...understanding of technical provisions and associated capital needs. Reporting &...Work experience placementLocal area$90k - $100k
...and collaborative. THE ROLE The Senior Risk Manager, Americas plays a key role in risk governance... ...risk initiatives. Support Risk P&L and capital budgets, including annual budget... ...without limitation, traits historically associated with race, such as natural hair, hair texture...Contract workLocal area- ...protecting Fidelity and its customers Oversee key risks, business unit policies, and other critical risk management functions Support continued product growth of... ...Compliance, Risk, or Audit Experience in brokerage / capital markets a plus 4-year college degree a plus...
$100k - $110k
...purchases. Each swipe powers a personalized home management platform where users can manage home... ...top investors like Village Global, Jump Capital, Recharge Capital, and Soma Capital , our... ...feel at home. About the Role The Fraud Risk Manager is a key member of the Risk Management...Local areaFlexible hours- ...Risk Manager – Tower Research Capital Tower Research Capital is a leading quantitative trading firm founded in 1998. Tower has built its business on a high-performance platform and independent trading teams. We have a 25+ year track record of success. Risk Manager job...
$175k - $275k
...Risk Manager New York, New York, United States The Role We are seeking an exceptionally... ...to manage and mitigate risks associated with credit products. Monitoring and... ...manager teams around the world, seeking to capitalize on inefficiencies and opportunities within...$160k - $190k
...of the portfolio by leveraging multiple risk metrics and techniques (default loss, stressed... ...scenario analysis using economic/stress capital models, particularly focusing on material... ...suited for decision-making by senior management. Summarize portfolio risk findings and deliver...Relocation package$140k - $185k
...a sample Investment Strategy Manager - Private Markets position commonly... ...and qualifications typically associated with roles focused on private... ...portfolio planning, and capital deployment. Actual openings... ...capital allocation, and enhance risk-adjusted returns. This role...Full time$151.9k - $173.4k
...Risk Manager, Business Continuity and Resilience Risk Management Do you want to be part of an organization dedicated to helping Capital One identify, manage, and effectively mitigate risk for our customers, communities, and associates? Capital One is seeking an enthusiastic...Full timePart timeLocal area- ...Recovery Financial Analytics team as an Associate and contribute to critical capital analytics supporting the firm's... ...and identify potential capital risks Support the production of pro forma... ...and ad-hoc analyses for Senior Management and the Board of Directors, Regulatory...Work at officeLocal area
$215.2k - $245.6k
...Manager, Quantitative Analysis - Model Risk Office At Capital One data is at the center of everything we do. As a startup, we disrupted the credit card industry... ...Understand relevant business processes and portfolios associated with model use Understand technical issues in...Full timePart timeWork at officeLocal area$215.2k - $245.6k
...Manager, Quantitative Analysis - Model Risk Office At Capital One data is at the center of everything we do. As a startup, we disrupted the credit card industry... ...Understand relevant business processes and portfolios associated with model use Understand technical issues in...Full timePart timeWork at officeLocal area$140k - $185k
...Posting This job description represents a sample Fund Product Manager - Private Capital position commonly found through the Career Launch AI... ...understand the responsibilities and qualifications typically associated with product-focused roles supporting private capital...Full time- ...strategic M&A advisory, agented private capital financing, and debt capital markets services... ...Responsibilities Origination & Client Management Lead relationships with technology... ...differentiated solutions Team Development Mentor Associate and Analyst team members on technical...Flexible hours
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