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JPMorgan Commercial & Investment Bank Risk Management Summer Analyst Program 
United States, New York, New York 
717828125

31.12.2024

Come work with our industry experts to identify, assess and manage risk for our global businesses. You will work with people of all levels across the firm, develop a broad understanding of products and their risks, build your professional network, and develop your expertise in a diverse team environment.

Working here means joining a collaborative, supportive team. We want your diverse perspective to help us innovate the next wave of products and solutions for our clients. You’ll have what you need to succeed – from training and mentorship from senior leaders to projects that engage all your skills.

What to Expect

The nine-week summer program starts with a five-day orientation and training session in New York. Expert instructors and J.P. Morgan professionals will teach you about our history, our products and the intellectual property that serve our clients. During training, you will learn skills that include valuation analysis, accounting, corporate finance, economics, equity capital markets, debt capital markets and risk analysis.

You'll build your technical and practical knowledge on-the-job with opportunities in one of the groups listed below. We have opportunities in the following locations: New York, NY; Plano, TX; Houston, TX; Chicago, IL; Los Angeles, CA.

  • The Credit Risk Team works in partnership with areas of the Commercial and Investment Bank and is responsible for assessing client credit strength and approving and managing the firm's retained credit risk. This risk can relate to underwriting, lending, and trading activities, including investment and non-investment grade syndicated loans, acquisition finance, derivatives, foreign exchange, and other products. Available locations: New York, NY; Plano, TX; Houston, TX; Chicago, IL; Los Angeles, CA
  • The Market Risk Team works in partnership with the Commercial and Investment Bank trading businesses to track market events, perform portfolio analysis and provide risk advisory for multiple asset classes, including FX, Rates, Equities, Credit, Securitized Products and Commodities retained by the firm. Available locations: New York, NY
  • The Chief Investment Office, Treasury and Corporate (CTC) Risk Team is an independent risk function that manages the risk of the retained portfolio generated from the CTC businesses and includes Market Risk, Credit Risk, Reputational Risk, Country Risk, Principal Risk, and Model Risk. CTC Risk is also responsible for the independent risk management of Firmwide Liquidity Risk, Interest Rate Risk, and Capital Risk. Available locations: New York, NY

Job Responsibilities

  • Performing analysis/due diligence on a counterparty/product
  • Monitoring risk sensitivities across team member counterparties and the portfolio as a whole
  • Building financial models
  • Contributing to analytical exercises in response to global events
  • Preparing reports to outline recommendations to senior management
  • Assisting in evaluating market moves that could cause losses to the firm

You’ll have the chance to:

  • Learn about risk at a premier global investment bank
  • Understand the role of integrity and transparency in dealing with regulators, clients, and business partners
  • Work collaboratively across the entire organization to find and solve problems before they grow
  • Come up with innovative ways to solve challenges and answer queries
  • Work on complex problems that require creative solutions
  • Manage relationships with clients, regulators, and stakeholders to minimize risks and follow laws in various locations

Required qualifications, capabilities and skills
Key skills include:

  • Exceptional quantitative, analytical, project management, and communication skills
  • Strong initiative, energy, and confidence, and the ability to thrive in a fast-paced, collaborative environment
  • Knowledge of Excel and Word and fluency in English
  • Attend college/university in the U.S.
  • Minimum cumulative GPA of 3.2 on a 4.0 scale.
  • Expected graduation date of December 2026 – June 2027 from bachelor’s or master’s program
    • If you are pursuing a master’s degree, it must be completed within 2 years of your bachelor’s degree
  • To be eligible for this program, you must be authorized to work in the U.S. We do not offer any type of employment-based immigration sponsorship for this program. Likewise, JPMorgan Chase, will not provide any assistance or sign any documentation in support of any other form of immigration sponsorship or benefit including optional practical training (OPT) or curricular practical training (CPT.)

Preferred Qualifications

  • Coursework in finance or economics a plus

We will be filling our classes on a rolling basis. We strongly encourage you to submit your application as early as possible before job postings close


Help us learn about you by submitting a complete and thoughtful application, which includes your resume. Your application and resume is a way for us to initially get to know you, so it’s important to complete all relevant application questions so we have as much information about you as possible.

After you confirm your application, we will review it to determine whether you meet certain required qualifications.

If you are advanced to the next step of the process, you’ll receive an email invitation to complete a video interview, powered by HireVue. This is your opportunity to further bring your resume to life and showcase your experience for our recruiting team and hiring managers.

Completion of the HireVue video interview is required, and your application will not be considered for further review until you have completed it. We strongly encourage that you apply and complete this as soon as possible, since programs will close as positions are filled.