Firm named No. 1 company to ‘Change the World’ by Fortune
In its third annual list, Fortune features CEO Jamie Dimon’s leadership in revitalizing the city of Detroit, where the road to economic recovery is long.Read more
Our Capital Management division helps the firm manage capital, anticipate and assess risks that may impact the firm's capital position, and stay on top of regulatory capital changes. On our team, you’ll provide information, analysis and recommendations to improve results and drive capital related decisions across the firm.
Develop and maintain an effective control environment for our businesses.
Hone your analytical skills and get insight into a vital part of how we do business.
We continuously develop our people’s professional and technical skills, and product knowledge.
As part of the Corporate Finance function, the Capital Management division is organized to effectively oversee and drive the firm's capital management strategy and framework. You will help us establish and execute sound capital management practices across Risk, Finance and each of our lines of business: Asset & Wealth Management, Consumer & Community Banking, Commercial Banking, and the Corporate & Investment Bank.
Interpret and provide guidance on Basel capital rules.
Implement, calculate and analyze firmwide Risk-Weighted Assets based on policy guidance.
Forecast and allocate the firm’s capital, oversee the end-to-end Basel capital control environment and manage ongoing capital strategies.
Oversee the firm's capital planning framework including design and execution of capital stress testing processes, controls and governance.
Defining and executing a cohesive strategy across the firm's forecasting and capital tools with the goal of refining and enhancing our capabilities.
Formulate and execute the firm's capital data governance strategy to drive ongoing data quality improvements.
Partner across the Capital Management division to drive organizational strategy and facilitate the delivery of key initiatives and projects.