DescriptionJoin J.P. Morgans Corporate & Investment Bank Credit Risk Management team and help shape the future of credit risk oversight for leading asset managers. As an Asset Managers Credit Risk Analyst you will play a key role in supporting lending and trading activities with industry-leading clients. This is your opportunity to develop advanced analytical skills collaborate with experienced professionals and make a meaningful impact on the firms risk management practices. You will work in a dynamic environment where your insights and contributions are valued.
As an Asset Managers Credit Risk Analyst in the Asset Managers Credit Risk Team you will monitor a portfolio of North America-based asset management clients and support Credit Officers with lending transactions client meetings and portfolio reviews. You will develop expertise in assessing credit risk reviewing transactions and maintaining active client relationships. Your work will help us manage risk and support business growth across a diverse range of investment strategies.
Job Responsibilities
- Monitor all aspects of the credit relationship for assigned clients including exposure compliance key risks and opportunities
- Provide credit expertise in reviewing derivative and loan transactions
- Lead or assist in negotiating and finalizing documentation for derivatives and loans
- Prepare credit analysis and seek approval for transactions including loans derivatives and operating exposures
- Review ratings tiering and risk appetite for clients in the asset management sector
- Contribute to the analysis of traditional credit products including customer due diligence financial analysis and credit approval memos
- Collaborate with partners on loan transactions and portfolio reviews
- Assist in evaluating and managing counterparty credit risks in trading with asset managers
- Assess fund clients risk management processes trading strategies and infrastructure
- Monitor exposure using proprietary systems and escalate key risk issues as needed
- Engage with business partners to determine trading requirements and exposure limits
Required qualifications capabilities and skills
- Bachelors degree in Business Finance Economics or Accounting
- General understanding of accounting and corporate finance
- Strong problem-solving and critical thinking skills
- Interest in client interaction and strong verbal and written communication skills
- Ability to work well under pressure and in team environments
- Proficiency in Microsoft Excel Word and PowerPoint
Preferred qualifications capabilities and skills
- Knowledge of the asset manager and hedge fund industry
- Financial modeling experience
Required Experience:
Manager
DescriptionJoin J.P. Morgans Corporate & Investment Bank Credit Risk Management team and help shape the future of credit risk oversight for leading asset managers. As an Asset Managers Credit Risk Analyst you will play a key role in supporting lending and trading activities with industry-leading cli...
DescriptionJoin J.P. Morgans Corporate & Investment Bank Credit Risk Management team and help shape the future of credit risk oversight for leading asset managers. As an Asset Managers Credit Risk Analyst you will play a key role in supporting lending and trading activities with industry-leading clients. This is your opportunity to develop advanced analytical skills collaborate with experienced professionals and make a meaningful impact on the firms risk management practices. You will work in a dynamic environment where your insights and contributions are valued.
As an Asset Managers Credit Risk Analyst in the Asset Managers Credit Risk Team you will monitor a portfolio of North America-based asset management clients and support Credit Officers with lending transactions client meetings and portfolio reviews. You will develop expertise in assessing credit risk reviewing transactions and maintaining active client relationships. Your work will help us manage risk and support business growth across a diverse range of investment strategies.
Job Responsibilities
- Monitor all aspects of the credit relationship for assigned clients including exposure compliance key risks and opportunities
- Provide credit expertise in reviewing derivative and loan transactions
- Lead or assist in negotiating and finalizing documentation for derivatives and loans
- Prepare credit analysis and seek approval for transactions including loans derivatives and operating exposures
- Review ratings tiering and risk appetite for clients in the asset management sector
- Contribute to the analysis of traditional credit products including customer due diligence financial analysis and credit approval memos
- Collaborate with partners on loan transactions and portfolio reviews
- Assist in evaluating and managing counterparty credit risks in trading with asset managers
- Assess fund clients risk management processes trading strategies and infrastructure
- Monitor exposure using proprietary systems and escalate key risk issues as needed
- Engage with business partners to determine trading requirements and exposure limits
Required qualifications capabilities and skills
- Bachelors degree in Business Finance Economics or Accounting
- General understanding of accounting and corporate finance
- Strong problem-solving and critical thinking skills
- Interest in client interaction and strong verbal and written communication skills
- Ability to work well under pressure and in team environments
- Proficiency in Microsoft Excel Word and PowerPoint
Preferred qualifications capabilities and skills
- Knowledge of the asset manager and hedge fund industry
- Financial modeling experience
Required Experience:
Manager
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