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Sr Analyst_Valuation Control Group_Non FADP Campus

Req #: 180000137
Location: Bangalore East, KA, IN
Job Category: Accounting/Finance/Audit/Risk
Job Description:
J.P. Morgan is a leading global financial services firm, established over 200 years ago:

o We are the leader in investment banking, financial services for consumers and small businesses, commercial banking, financial transaction processing, and asset management.
o We have assets of $2.5 trillion and operations worldwide
o We operate in more than 100 markets.
o We have more than 243,000 employees globally.

Our wholesale businesses include J.P. Morgan’s Asset Management, Commercial Banking and the Corporate & Investment Bank which provide products and services to corporations, governments, municipalities, non-profits, institutions, financial intermediaries and high-net worth individuals and families.

Our corporate functions support the entire organization and include the following functions: Accounting, Audit, Finance, Human Resources, Operations, and Technology.



VCG is organized along business lines including Corporate & Investment Bank (Macro Products, Credit, Equities, Securitized Products, IB Risk), CIO, Treasury & Corporate (CTC), Asset Management, Consumer & Community Banking (CCB) and Commercial Banking (CB). Clients of the group include senior management, business heads, regulators, and both internal and external audit. The group also works closely with the Traders, CFOs, Market Risk, and Middle Office to ensure a complete understanding of business issues and the accurate execution of valuation policy.




·         Execute price verification/benchmark process including the calculation of fair value adjustments

·         Assist with various VCG established practices and control initiatives as well as perform necessary work relating to management reporting, regulatory mandates and consistency within the broader VCG framework

·         Partner with various functional groups on valuation related issues and develop/implement appropriate measures with the goal of ensuring fair value

·         Enhance existing control framework including reviewing independent pricing processes, assessing potential coverage developments and implementing new tools to enhance control efficiency

·         Other value-added projects related to Business, Risk, and Finance initiatives




·         Undergraduate degree with finance and economics major preferred

·         Graduate degree with finance, economics, mathematics, engineering a plus

·         Ability to understand complex products, and analyze transaction and process flows

·         Work experience in financial industry a plus

·         Understanding of valuation concepts as they pertain to financial products and derivatives, basic accounting knowledge

·         Analytical and quantitative aptitude. Candidates with quantitative backgrounds preferred.

·         Strong verbal and written communications skills.

·         Experience with Advanced Excel, PowerPoint, Visual Basic, automation and database skills a plus

·         Ability to prioritize multiple tasks efficiently

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