Job responsibilities
- Produce and report daily Margin Trading Market Risk & P&L efficiently and accurately.
- Partner with business stakeholders to implement robust controls and strategic initiatives.
- Identify and implement continuous improvements to adapt processes to changing systems and control requirements.
- Foster an inclusive and equitable working environment that encourages learning and growth.
- Collaborate with Front Office, Market Risk Coverage, Technology, and Operations teams.
- Define and establish operating models for new risk controlling areas.
- Build and lead a team focused on risk management excellence.
- Ensure effective collateral management and risk mitigation strategies.
- Drive innovation in risk control processes and methodologies.
- Develop strong working relationships across departments.
- Take ownership of processes and improvements with a proactive approach.
Required qualifications, capabilities, and skills
- Experience in Product Control, Financial Control, Accounting, or related areas.
- Solid understanding of financial products and market risk.
- Strong analytical skills and attention to detail with a control focus.
- Excellent communication skills and ability to build strong relationships.
- Independent and motivated self-starter with process ownership.
- Bachelor's degree in Accounting, Finance, Business, or related field.
- Ability to challenge the status quo and address root causes of issues.
Preferred qualifications, capabilities, and skills
- Experience in margin trading and derivatives risk management.
- Proven track record in implementing strategic initiatives.
- Familiarity with JPM's range of financial products.
- Ability to lead and develop high-performing teams.
- Experience in stakeholder management and collaboration.
- Knowledge of collateral management strategies.
- Innovative mindset with a focus on continuous improvement.