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Asset & Wealth Management Program Analyst, WM, Managed Selection, Quantitative Analyst (New York, NY)

Req #: 170099599
Location: New York, NY, US
Job Category: Asset Management
Job Description:

JPMorgan Chase & Co. is a leading global financial services firm with assets of more than $2 trillion, over 260,000 employees and operations in over 60 countries. It operates across four business segments including Asset & Wealth Management, Corporate and Investment Banking Commercial Banking, Consumer and Community Banking.


Through collaboration, intellectual curiosity and creativity, you can accomplish extraordinary things at J.P. Morgan. Our people do outstanding work by partnering with clients and each other to generate positive change in our local and global communities every single day. We are committed to your growth and development. We offer opportunities across all of our businesses that can take you in any direction you want to go and leaders who will support you in getting there.


Wealth Management

JPMorgan Wealth Management delivers the highest quality advice, service, capabilities and products to high net worth individuals and families in 36 countries around the world. We deliver highly customized and tailored solutions to help clients with the many complexities they face by leveraging the commercial and investment banking capabilities of the firm. WM addresses every facet of wealth management from investment management and brokerage to tax and estate planning, credit, raising of capital, and specialty wealth advisory services.


Investment Solutions provides WM clients with investment management solutions across all major asset classes including equities, fixed income, alternatives, multi-asset and money market funds. 


Primary Function:

This position will be a member within Wealth Management's Manager Selection Team, reporting to its Director of Equity Manager Research.  The team is responsible for search and selection of investment vehicles for use within Wealth Management's various programs with a focus on multi-asset class discretionary managed solutions.  The position will be focused on developing, implementing and maintaining a newly designed Systematic Research Tool created to implement a robust and uniform lens through which to evaluate managers across a broad range of asset classes.    



  • Support the use, implementation and enhancement of analytical tools utilized by the team
  • Liaise with the technology team to provide design requirements for the integration of analytics and tools into proprietary investment research and analytics platform
  • Articulate the manager selection quantitative research process to internal partners and investment advisors
  • Partner with the Product & Platform Team to help facilitate the onboarding of new investment solutions to various platforms
  • Grow and maintain comprehensive platform of global equity, fixed income and liquid alternative solutions
  • Enhance quantitative monitoring analytics and cost analysis
  • Maintain a consistent and strong focus on compliance and risk management
  • Rigorous analytical mindset with a high level of intellectual curiosity 
  • Strong quantitative and problem-solving skills  
  • Clear passion for financial markets and investing
  • Effective communication skills (listening, verbal, and written)
  • Strong interpersonal and teamwork skills
  • Sound judgment and discretion
  • Effective multi-tasking and prioritization capabilities  

The successful candidate must have:


  • No more than two years of work experience following completion of undergraduate program

  • Candidate must hold a Bachelor’s degree with a minimum overall GPA of 3.2
  • Bachelors degree – Major/Minor in Mathematics, Engineering or Computer Science a plus
  • Strong quantitative aptitude and skill set; some programming experience a plus
  • Ability to manage complex projects within a large, multifaceted organization
  • Ability to manage multiple priorities in a fast paced, fluid environment
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