Risk Management - Specialized Risk Associate (Structural Interest Rate Risk)
JPMorganChase
Join JPMorgan Chase's Risk Management and Compliance team, where your expertise helps safeguard the firm's financial strength and resilience. Within the Interest Rate Risk Team, you'll be at the forefront of identifying and managing risks that impact our business, customers, and communities. We foster a culture of innovation, challenging the status quo, and striving for best-in-class risk practices. Your analytical skills and forward-thinking approach will help shape the future of our Treasury and Chief Investment Office. Make a meaningful impact by leveraging technology and market insights to navigate a complex regulatory landscape. As an Interest Rate Risk Associate in the Treasury and Chief Investment Office (CIO) team, you will play a critical role in managing the firm's interest rate risk exposure arising from core banking activities and investment portfolios. You will have the opportunity to conduct deep-dive analyses, develop market scenarios, and provide actionable insights for senior management. This role will offer you a unique opportunity to collaborate across global teams, integrate advanced technologies into risk management workflows, and contribute to the evolution of risk practices at one of the world's leading financial institutions. Job Responsibilities Monitor and manage interest rate risk (IRR) in the banking book, including key metrics such as Earnings at Risk, Duration of Equity, and Economic Value of Equity Conduct deep-dive analyses and market scenario assessments to identify emerging risks and blind spots Summarize analytical findings and intuitions for management reports and presentations Integrate new technologies, including AI, Python, and Databricks, into risk management workflows Provide analytical support for IRR management strategies, modeling assumptions, and connectivity to related risks (Liquidity and Capital Risk) Independently assess IRR strategies and changes to modeling assumptions, including deposits and mortgages Stay informed on market trends and macroeconomic environments to guide the firm through complex ALM and regulatory challenges Collaborate with IRR coverage teams across lines of business and global legal entities (EMEA and APAC) Support the evolution of risk practices and contribute to the development of best-in-class methodologies Ensure compliance with regulatory requirements and internal risk limits Communicate complex concepts clearly to both technical and non-technical stakeholders Required Qualifications, Capabilities and Skills 3+ year of experience in Trading, Risk Management, Treasury, or Finance function Proficiency in Python, SQL, or similar programming languages Familiarity with AI and Machine Learning applications in financial analysis Excellent oral and written communication skills, with ability to articulate complex concepts for management Strong analytical skills and high level of self-initiative Ability to work effectively across different functional areas and global locales Experience in preparing management reports and presentations Demonstrated problem-solving skills and attention to detail Ability to manage multiple priorities in a fast-paced environment Commitment to continuous learning and professional development Preferred Qualifications, Capabilities and Skills Understanding of fixed income pricing concepts and balance sheet management Experience in a fixed income trading environment Exposure to stress-testing frameworks, such as Value at Risk (VaR) Advanced knowledge of interest rate risk management practices Experience with regulatory compliance in ALM and Treasury functions Familiarity with global financial markets and macroeconomic analysis Ability to drive innovation and process improvement in risk management We recognize that our people are our strength and the diverse talents they bring to our global workforce are directly linked to our success. We are an equal opportunity employer and place a high value on diversity and inclusion, and we do not discriminate on the basis of any protected attribute. We also make reasonable accommodations for applicants' and employees' religious practices and beliefs, as well as mental health or physical disability needs. #J-18808-Ljbffr JPMorganChase
$250k
...Capital Markets – Vice President/Director, Interest Rate Derivatives Trading This position... ...for delivering market insight, risk management and execution services to institutional... ...qualifications, and may include a commission structure. Benefits Health insurance,...SuggestedShift work$142k - $169k
Goldman Sachs Bank AG seeks an Associate in Model Risk in New York, NY. The role involves analyzing and assessing model risk associated with interest rate pricing models, verifying their conceptual soundness, and monitoring performance. Candidates should have a Master’s...Suggested$113.31k - $178.79k
...Funds new issue credit ratings team, which is part of the U.S. Structured Credit (US SC) team. A successful... .... Prepare for and lead management meetings and maintain... ...counterparty and other risks related to US SC credit... ...participant. Strong interest in credit funds, BDCs, CLOs...SuggestedAgency workWork at officeFlexible hours- JPMorgan Chase & Co. is seeking an Interest Rate Risk Vice President in New York to manage the firm's interest rate risk exposure. This crucial role involves conducting deep analyses and providing actionable insights for senior management while collaborating across global...Suggested
- Mizuho Financial Group Inc. is seeking an experienced DRS Associate in New York to work with senior bankers and professionals, specializing in foreign exchange and interest rate products. This role involves supporting the sales team, conducting market research, and modeling...Suggested
$166.43k - $221.9k
...experienced Director of Product Management to lead product strategy,... ...platform delivery for the Interest Rate Derivatives business within... ...Sales, Technology, Operations, Risk, Finance, Legal, Compliance,... ...to meet the needs of our associates. More information can be found...Work at office$91k - $145.6k
...role. Line Of Business Risk Management Job Description... ...development, and complex special projects. The Group... ...risk impacts associated with business processes... ...funding, cash management, interest rate risk, balance sheet management... ...ability to work with structured and unstructured data...Local area$150k - $200k
...securities, investment management and wealth management services... ...is comprised of Interest Rate and Currency Products, Credit... ...and actively manages risk, trade securities, and structure as well as execute innovative... ...professionals at Associate or VP level based to tackle...Full timeTemporary workWorldwide$100k - $140k
Firm Risk Management Overview Firm Risk Management (FRM) supports MorganStanley... ...assigns internal credit ratings, establishes and manages... ...exposure impact, tenor details, structure, etc. Negotiate documents... ...motivation and initiative taker. Interest in working in a fast‑paced...Temporary work- ...JPMorganChase. As part of Risk Management and Compliance, you play a... ...class. As a Quant Model Risk Associate in the Model Risk... ...reviews of complex credit, interest rate, and equity pricing models,... ...for specific products and structures. Evaluate model behavior and...
- Join JPMorgan Chase as an Interest Rate Risk Associate in New York, where you'll manage interest rate risk exposure and provide actionable insights for senior management. You'll conduct deep-dive analyses and collaborate with global teams, utilizing advanced technologies...
$135k - $150k
...JPMorganChase. As part of Risk Management and Compliance, you... .... As a Credit Risk Associate on the Infrastructure... ...the Bank. Our team structures new and manages a portfolio... ...protects JPM's interests in various structured... ...and appropriate credit ratings and negotiating...$135k - $175k
...execution within the Brookfield financial risk management function. It is a broad role that... ...Formulate strategies to mitigate FX, interest rate, and other financial market risks using... ...the formation of market views Manage special projects related to improving execution...Temporary workWork experience placement$100k - $140k
Firm Risk Management Firm Risk Management (FRM) supports Morgan Stanley... ...department assigns Internal Credit Ratings; establishes and manages... ...impact, tenor details, structure etc. - Negotiate documents with... ...motivation and initiative taker - An interest in working in a fast-paced...Full timeTemporary work- Interest Rate and Credit Derivatives Business Analyst - VP... ...processing, inline PV & risk, and workflow... ...Sales, business unit managers and heads of businesses... ...Knowledge of investment bank structure and departments responsibility... ...Paid Parental Leave. Special discounts for...
- ...is seeking a capital markets lead to oversee the entire lifecycle of transactions, encompassing deal structuring, secondary trading, and interest rate risk management. The ideal candidate will bring over 7 years of debt capital markets experience, coupled with the ability...Remote job
$185k
...Capital Markets, LLC is seeking an Associate in Sponsor Risk Solutions for its New York office. This... ...related to foreign exchange and interest rates. The successful candidate will cultivate... ...with alternative asset managers and execute tailored hedging solutions...Work at office$250k - $320k
...Non-linear Rates Trader, Executive DirectorCountry: United States... ...real difference.If you are interested in exploring the... ...responsibility for pricing, trading, and risk management across nonlinear products,... ...NY* Partner with Sales and Structuring to support and expand coverage...Hourly payContract workWork experience placementShift work$90k - $121k
Job Summary Portfolio management for designated customers... ...credit exposure, structured finance transactions,... ...reviews. Analyze credit risk of the designated portfolio... ..., determine accurate ratings, and make... ...supervision. Experienced associates can identify structural...Work experience placementLocal area$100k - $160k
...outline CORPORATE TITLE Associate language OFFICE... ...assignment JOB FUNCTION Risk Governance account_balance... ...Asset & Wealth Management monetization_on SALARY... ...Acute and pro‑active interest in financial markets... ...accommodations for candidates with special needs or disabilities...Full timeTemporary workWork at office$100k - $140k
Firm Risk Management (FRM) supports Morgan Stanley to achieve its business... .... Risk Data seeks an Associate to support governance, reporting... ...organizational skills with an interest in working in a fast‑paced... ...Compensation Expected base pay rates for the role range between $...Temporary workWork at office$77k - $117.45k
...the firm's critical risk management function by performing all duties associated with conflict of interest reporting, including... ...corporate business structure analysis, generating... ...system. Perform other special projects, as... ...The actual offered rate for this position will...Work at officeFlexible hoursShift work- ...time in the NY office. Division Risk Division Summary The Risk... ...Assurance, Business Continuity Management and Market Risk disciplines. Credit Risk consists of the rating and analysis, ongoing... ...EM”) trading, commodities and structured financing. The role is responsible...Work at office
$180k - $260k
The Firm Capula Investment Management is a leading global quantitative... ...over $30 billion in assets, specializing in fixed income, macro, and... ...with a strong commitment to risk management and quantitative... ...and discretionary bonus structure, reviewed annually (USD 180,...$100k - $140k
Firm Risk Management Morgan Stanley's Firm Risk Management (FRM) Division is an exciting and... ...across asset classes (e.g. equities, interest rates), the credit risk of borrowers and their... ...), and the generation of scenarios associated with increased economic stress. Morgan...Temporary workWork at office3 days per week- ...Quantitative Research team as an Associate specializing in Derivatives Risk Modeling and Analytics.You'll... ...team works closely with portfolio managers, derivatives solutions... ...variance/volatility swaps, exotic structures), Interest Rate Derivatives (swaps, swaptions,...Local area
- ...an in-depth understanding of Interest Rate trading, balance sheet strategies, and risk management techniques via exposure to one... ...of products such as Bonds, Structured Notes, CLN, Repo, Interest Rate... ...and develop a team of three associates. Act as the main point of contact...Work experience placement
$225k - $250k
...and Financial Sponsor Structuring, VP - CIBApplylocations... ...difference.If you are interested in exploring the... ...deliver differentiated Rates and FX solutions for Corporates... ...to align on pricing, risk, documentation,... ...approach toward risk management.**EEO Statement:**At Santander...Hourly payContract workShift work$140k - $180k
..., investment banking, structured finance, commercial banking... ...every day in the interest of society, we are a Group... ...Job title Compliance Risk Assessment Officer -... ...insights to senior management. This position offers... ...skills to understand risk rating scoring Strong...Permanent employmentContract workWork at officeWorldwide$87k - $140k
...Banking - Corporate Credit Structuring Associate page is loaded##... ...as well as trade management solutions) for existing... ...a balanced focus on risk-return parameters, lead... ...Registrations, Facility Rating Simulations*... ...requirements (Conflict of Interest, Reputational Risk, KYC...
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