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Assess, forecast, manage and model risks that the firm is exposed to and needs to undertake in a measured way to run the business
The Risk Management & Compliance Group is an integrated specialist team that helps facilitate risk management and compliance across the firm's businesses.
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Industry expertise
Be part of the Risk Management & Compliance Group and develop expertise in specific risk management or compliance capabilities across specific sectors, geographies or products.
Build a global network
Work directly with our experienced risk professionals across the globe and gain valuable insights and industry relevant expertise.
Who we are
We help manage numerous risks the firm is exposed to - credit risk, interest rate risk, liquidity risk, forex risk, counterparty risk, market risk etc. We also assess and validate risks emanating from the estimation models that the firms uses in various functions e.g. trading.
What you can do
Plays an integral part of the Risk Management & Compliance function, performing industry and financial analysis of our clients across industries and geographies and supporting the firm's assessment for exposure levels and internal credit ratings.
Provides in-depth risk assessments for the firm's Consumer bank in the US; including Loss Forecasting, Reporting & Analytics, Fraud Analytics, Core modelling - Cards, Capital and Home Lending - Originations Analytics, Servicing and Data Strategy.
Plays an extensive role in new underwritings and annual reviews of our exposure to J.P. Morgan's global wealth management clients.
Helps in managing risk of the portfolio of investments managed by the Chief Investment Officer, Global Treasury and Corporate businesses.
As part of the corporate risk setup, you'll look into regulatory submissions as well as monitor and report firm-wide and regulatory-defined stress tests.
The team develops complex quantitative modules like analysis of trade population for complex flex categories (SPI, Tradable Delta Strategy), implementation of rates and commodities algorithmic indices (Python) and Athena programs to develop front end application tools for the trading desk covering various asset classes across equity, rates, credit etc.
Hear from our people
Opportunities in Risk Management & Compliance
Where we work
Explore our featured locations around the world.