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Analyst- Model Risk Governance and Review – Risk Strategy & Execution

Req #: 180039221
Location: Mumbai, MH, IN
Job Category: Sales/Trading/Research
Job Description:
Model Risk Governance and Review – Risk Strategy & Execution Analyst
J.P. Morgan is a leading global financial services firm with assets of $2.1 trillion and operations in more than 60 countries. The firm is a leader in investment banking, financial services for consumers, small business and commercial banking, financial transaction processing, asset management and private equity. Information about J.P. Morgan is available at
The role is within the Risk Strategy & Execution vertical of Model Risk Management group which is tasked with coordination, planning, and execution of regulatory, control, audit, and corporate risk initiatives and deliverables. As a member of the team, the individual will be responsible for:
  • Translating the existing business requirements in model risk management space into business applications using applied development work mostly in Python using in-house built Python frameworks
  • Expertise in application, data and infrastructure architecture disciplines
  • Advanced knowledge of architecture, design and business processes
  • Good understanding of the importance of end-to-end software development-such as Agile frameworks-is key
  • Work on model review publication and preparation of various senior management reports
  • Work on design and setup of automated risk reporting infrastructure/tools
  • Partner with internal teams to support business execution for Model Review and Governance activities
  • Advanced degree in a Finance, Engineering, Economics, Math/Statistics or related quantitative discipline
  • 2 to 3 years of relevant experience in model risk management or financial services space
  • Strong programming skills in Python required
  • Good understanding of software architecture and design patterns. Previous experience with Athena for internal candidate is an advantage
  • Strong quantitative, analytical skills and flair for independent research & problem solving
  • Knowledge of financial products/markets and regulatory requirements is plus
  • Strong organizational, communication (verbal and written) and negotiation skills
  • Self-starter who is able to perform effectively in a fast paced, results driven environment
  • Risk Management and Control mindset (ability to identify control gaps and/or issues)
  • Ability to analyze problems, apply quantitative analytical approaches, communicate effectively and confidently, and work well in cross-functional teams
  • Ability to identify process improvement opportunities to improve overall client experience
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