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JPMorgan Risk Management - Auto Capital Markets Vice President 
United States, Texas, Plano 
503289158

14.09.2024

As a Vice President for Auto Risk Capital Markets in the Consumer & Community Bank (CCB), you will play a pivotal role in driving the risk oversight on capital optimization activities and oversee liquidity strategies for the auto business. You will be providing strategic analytic support, risk oversight and investor material preparation for various securitization activities that are planned for capital and liquidity optimization purposes. This is an exciting opportunity to work on highly impactful strategic initiatives as they become the key focus of the business. You will excel at creative thinking and problem solving; be self-motivated, confident and ready to work in a fast-paced, energetic environment.

Job Responsibilities

  • Provide independent risk oversight, assessment and controls of the Auto Capital Markets activities
  • Formulate and deliver risk viewpoints in execution of various Capital Markets initiatives that align to broader Auto strategic objectives.
  • Conduct deep dive exercises related to the Auto business and provide value to proactive strategies impacting the business spanning across origination, servicing, and default management
  • Review new NBIAs (New Business Initiatives), performance monitoring on strategies, improvements in current BAU on process
  • Partner with X -LOB risk functions in understanding key position, risk and strategy changes
  • Work with the Front Office, Finance, Policy, and Technology related to all aspects of Capital Markets business.
  • Provide analytic support and timely reporting for the successful implementation of various de-risking initiatives.
  • Ensure compliance with existing risk and control structure while driving future enhancements to risk and control structure.
  • Provide accurate and concise results and presents findings, recommendations, and other relevant materials to senior management.
  • Will be expected to work independently and multitask on several projects and processes

Required qualifications, capabilities, and skills

  • Minimum Bachelor’s degree in a quantitative or business discipline from an accredited college/university required.
  • 5+ years of work experience in Capital Markets structures and/or risk strategy.
  • Experience with consumer lending products (e.g. Auto loan, Mortgage) and existing knowledge of securitization. Required experience in risk and valuation for fixed income products.
  • Strong analytical and quantitative skills, critical thinking, investigative problem-solving and decision making talents
  • Familiarity with company accounting statements (Balance Sheets, Income Statements, etc.)
  • Ability to work independently with high attention to detail.
  • History of communicating to senior leaders of an organization.
  • Strong analytical, technical and statistical skills. Ability to synthesize / analyze diverse information, develops recommendations, and makes decisions.
  • Project Management Skills -- well-organized, structured approach. Ability to achieve tight timelines on complex deliverables. Ability to manage and prioritize projects across cross-functional groups.
  • Strong communication and interpersonal skills, ability to interact with individuals across departments / functions and with senior-level individuals.

Preferred qualifications, capabilities, and skills

  • Highly proficient in Microsoft Office suite of products, and programming language is a plus
  • Experience with credit hedges
  • Advanced degree is preferred