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DESCRIPTION:
Duties: Analyze trader’s daily positions and interface with them to fully optimize the positions. Maintain all inputs and functions that influence the best execution decision. Examine alternative execution options to determine portfolio level best execution, including agency mortgage backed securities, held for investment and private label securities. Work closely with Fannie Mae and Freddie Mac to coordinate changes, new initiatives, and aggressive pricing while ensuring strong relationships with GSE counterparts. Interact with trading channels to ensure that the optimal mix of collateral is being attained. Evaluate and maintain accurate channel prices for all agency originations and servicing purchased through GSE cash windows. Perform extensive analytical analysis around fallout and channel originations. Act as a liaison between the Trader, Middle Office, Product Control, Risk and other Capital Markets groups.
QUALIFICATIONS:
Minimum education and experience required: Master’s degree in Statistics, Financial and Risk Management, Finance, Mathematics, or related field of study plus 3 years of experience in the job offered or as Portfolio Manager, Market Risk Coverage, Data Analyst, or related occupation. The employer will alternatively accept a Bachelor’s degree in Statistics, Financial and Risk Management, Finance, Mathematics, or related field of study plus 5 years of experience in the job offered or as Portfolio Manager, Market Risk Coverage, Data Analyst, or related occupation.
Skills Required: Requires experience in the following: Python; Visual Basic for Applications (VBA); Microsoft Excel, including PivotTables, VBAs, macros, INDEX, and MATCH for statistical modeling and creating analytics libraries; Bloomberg; Data Analysis; Quantitative Risk Management; Quantitative Analysis; Fixed Income Analysis; Securitized Product Analysis; Quantitative Finance; Market Value Projection; Value- at-Risk; Bond Math; Stress Testing; Risk Analytics; Fixed Income Risk Hedging; Derivatives products; and fixed income products.
Job Location: 480 Washington Blvd., Jersey City, NJ 07310. Telecommuting permitted up to 40% of the week.
Full-Time. Salary: $200,000.00-$285,000.00 per year.
Full Time
Banking
$119k-166k (estimate)
05/02/2024
07/01/2024
jpmorganchase.com
MCKINNEY, TX
>50,000
1968
>$50B
Banking
For over 200 years, JPMorgan Chase & Co has provided innovative financial solutions for consumers, small businesses, corporations, governments and institutions around the world. Today, we're a leading global financial services firm with operations servicing clients in more than 100 countries. Whether we are serving customers, helping small businesses, or putting our skills to work with partners, we strive to identify issues and propose solutions that will propel the future and strengthen both our clients and our communities. 2017 JPMorgan Chase & Co. JPMorgan Chase is an equal opportunity and... affirmative action employer Disability/Veteran.
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The job skills required for Portfolio Manager include Analysis, Initiative, Trading, Risk Management, etc. Having related job skills and expertise will give you an advantage when applying to be a Portfolio Manager. That makes you unique and can impact how much salary you can get paid. Below are job openings related to skills required by Portfolio Manager. Select any job title you are interested in and start to search job requirements.
The following is the career advancement route for Portfolio Manager positions, which can be used as a reference in future career path planning. As a Portfolio Manager, it can be promoted into senior positions as a Portfolio Manager III that are expected to handle more key tasks, people in this role will get a higher salary paid than an ordinary Portfolio Manager. You can explore the career advancement for a Portfolio Manager below and select your interested title to get hiring information.