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JPMorgan Senior Associate - Market Risk Middle Office 
India, Karnataka, Bengaluru 
792654666

15.07.2025

As a Senior Associate in the Market Risk Middle Office team, you will play a crucial role in supporting market risk functions, including VaR, FSI Stress, Stress VaR, Regulatory Capital, Default Exposure, and Volcker risk measures.

The Market Risk Middle Office (MRMO) is part of the Firmwide Market Risk Reporting, Middle Office, and Project Services within Corporate Risk. MRMO is responsible for Market Risk data control and analysis, covering processes like Value-at-Risk, FSI Stress, Stress VaR, Regulatory Capital, Default Exposure, and Volcker.

Job Responsibilities:

  • Serve as a subject matter expert in Market Risk, providing support for all daily processes.
  • Assist in developing the team's comprehensive operating framework, including establishing and implementing tracking and escalation processes.
  • Foster effective partnerships with Technology, Market Risk Operate, Market Risk VaR & Capital, MRQR, and Market Risk Reporting teams, acting as a consensus builder.
  • Ensure all processes are executed efficiently, effectively, and promptly to meet service level agreements (SLAs).
  • Cultivate critical relationships within the Market Risk Middle Office team.
  • Enhance key controls and continuously monitor and evaluate the environment to address control gaps and deficiencies.
  • Dive into the details and understand the workings of all processes within your responsibilities for successful execution.
  • Support special projects and initiatives within the risk management function.
  • Identify opportunities for process enhancements and automation in middle office functions.

Required qualifications, capabilities and skills

  • Minimum 6 + years of relevant work experience in risk management within a financial organization
  • Undergraduate or Master’s degree in a relevant discipline
  • Strong analytical background with sound understanding of financial products across asset classes like Credit, Rates, Equities, and Commodities.
  • Excellent verbal and written communication skills, with an ability to deliver effective presentations to senior management
  • Demonstrated ability to partner effectively across different businesses and functional areas
  • Ability to work efficiently under pressure
  • Independent and strong critical thinking skills, with thorough attention to detail
  • Resourcefulness, and ability to multitask effectively.
  • Working knowledge of Python, Alteryx, Tableau, and LLM

Preferred qualifications, capabilities, and skills

  • Proficiency in analytical tools such as Python, Alteryx & Tableau
  • 2+ years of Knowledge of market risk reporting and management
  • Familiarity with regulatory frameworks and requirements related to market risk.