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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 https://www.jpmorganchase.com/.
 
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:
 
Responsibilities:
 
  • 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
     
 
Qualification
 
  • 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
 
Skillset
 
  • 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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