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J.P Morgan Asset Managementhas one of the industry’s most comprehensive and well-regarded alternative investment businesses, with more than $170 billion in Assets Under Management (AUM) and diversified alpha engines across Hedge Funds, Absolute Return Fixed Income, Private Equity, Private Credit and Real Assets, which includes Real Estate, Infrastructure, Transportation and Natural Resources.
Our team is committed to being a world-class leader in risk management, maintaining a system of strong controls, providing guidance and clear direction on key principles, and proactively managing risks. The Chief Risk Officer of Asset Wealth Management (AWM CRO) reports directly to the firm wide CRO and is a member of the Risk Operating Committee as well as the Asset and Wealth Management Operating Committee. The AM Risk team, led by the AM Chief Risk Officer (CRO), is aligned to the AM business covering the broad spectrum of risks inherent in the global institutional businesses.
Job summary
As a Asset Management Risk, Vice President in the Investment Risk Alternatives team you'll be a experienced quantitative and market risk oriented professional responsible for developing and maintaining market, investment, liquidity and counterparty risk frameworks, analytics and reporting for the AM business. The team is seeking a risk professional with markets and ideally Alternatives experience to join the AM Investment Risk Team focusing on Alternatives. This position will be part of the team reporting to the AM Alternatives Risk Americas Lead and will work closely with the investment teams as well as other control functions
The position will include proactive management of investment, liquidity and counterparty risk based on ongoing, informed, and educated market observations with a focus on Real Estate within the Alternatives business. This position will provide investment, liquidity and counterparty risk oversight, market risk monitoring, exposure measurement and concentration identification, and assist in developing and enforcing risk and investment approval policies across the businesses. The ideal candidate should have a risk management background and product knowledge across multiple asset classes or specific Alternatives strategies.
Job Responsibilities:
Required qualifications, capabilities, and skills:
Preferred qualifications, capabilities, and skills:
Full Time
$104k-137k (estimate)
04/02/2024
05/31/2024