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JPMorgan Risk Management - Reporting Analyst 
United States, New Jersey, Jersey City 
983649291

20.07.2024

Market Risk Middle Office is a group within the Firmwide Market Risk Reporting, Middle Office, and Project Services group within Corporate Risk. The group is responsible for Market Risk data control and risk analysis covering various risk processes including VaR, FSI Stress, Stress VaR, Regulatory Capital, Default Exposure, and Volcker.

Market Risk Middle Office has regular dialogue with Market Risk Management, Product Control, Middle Offices, Market Risk Reporting, Basel Group, and Technology teams across the various lines of business. The group is engaged in major projects within and outside the group, including implementation of new regulatory requirements and improvements to the market risk infrastructure and process automation.

Job Responsibilities

  • Gather and analyze risk-related data from various sources, including loan portfolios and market data.
  • Identify and assess key risk indicators (KRIs) and trends.
  • Prepare detailed and accurate risk reports for senior management, risk committees, and regulatory bodies.
  • Develop and maintain risk dashboards and visualization tools to effectively communicate risk information.
  • Assist in the identification, assessment, and monitoring of credit risk
  • Support the development of credit risk mitigation strategies and action plans.
  • Work closely with various departments, including finance, compliance, and operations, to gather relevant risk information and ensure consistency in reporting.
  • Participate in risk management meetings and contribute to discussions on risk-related issues.
  • Ensure that all risk reporting activities comply with relevant regulatory requirements and industry standards.
  • Stay updated on changes in regulations and industry best practices related to risk management and reporting.
  • Implement best practices and innovative solutions to improve the efficiency and effectiveness of risk reporting.

Required Qualifications, Skills and Capabilities

  • Bachelor’s degree or equivalent
  • Experience working within a financial/risk/professional environment
  • Superior analytical abilities, attention to detail
  • Effective time management, strong organizational skills and able to work under tight deadlines
  • Solid organizational and multitasking skills
  • Ability to work in a team environment but take individual ownership
  • Control mindset
  • Excellent verbal and written communication skills
  • Strong interpersonal skills
  • Interacts effectively with peers and senior management
  • Knowledge of financial markets
  • Advanced experience with Excel a must