Job Summary
As an Analyst within our Markets team, you will Work closely with Global Portfolio Financing teams to analyze middle market credit collateral, Perform credit analysis of portfolio loan investments and identify business risks, Develop mark recommendations for new loans into the JPM portfolio by analyzing the underlying business, the structure of the credit, the spread of the loan and all other relevant information, Monitor the entire loan book every quarter, Identify and analyze impact of macro-events on the underlying collateral pool.
Job Responsibilities
- Work closely with Portfolio Financing teams to analyze middle market credit investments
- Perform credit analysis of portfolio loan investments and identify business risks
- Develop draft mark recommendations for new loans into the JPM portfolio by analyzing the underlying business, the structure of the credit, the spread of the loan and all other relevant information
- Monitor portfolio by ongoing review of sector trends and loan assets based on quarterly financial
Required qualifications, capabilities, and skills
- Bachelor’s degree in Economics, Business, Accounting or related field
- Expert Excel, PowerPoint and MS Office skills
- Someone who is eager to learn, and has great self-motivation to work and thrive on the challenge of competitive pressure with an excellent work-ethic
- Works well in a team dynamic with a collaborative approach and personal efficiency
- Excellent communication skills
Preferred qualifications, capabilities, and skills
- Minimum 1 year of experience in a credit role preferred (Credit Risk, Credit Portfolio Management)
- Experience in Banking/ Capital Markets/ Investment Management is preferred but not required
- Superior time management and multi-tasking skills to juggle live transactions, daily tasks, while maintaining focus on client needs