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Jp morgan

CORP_Generic_Global_JPMC

1-2 Years
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Job Description

The successful candidate will be a member of the MRGR Group covering E-Trading across all asset classes, and will focus on the following activities:

  • Engage in new model validation activities for all E-Trading models in the coverage area - evaluate conceptual soundness of model specification; reasonableness of assumptions and reliability of inputs; fit for purpose; completeness of testing performed to support the correctness of the implementation; robustness of numerical aspects; suitability and comprehensiveness of performance metrics and risk measures associated with use of model.
  • Conduct independent testing
  • Perform additional model review activities ranging from proposed enhancements to existing models, extensions to scope of existing models.
  • Liaise with Trading Desk, Risk and Finance professionals to provide oversight of and guidance on appropriate usage, controls around model restrictions limitations, and findings for ongoing performance assessment testing
  • Maintain model risk control apparatus of the bank for the coverage area serve as first point of contact
  • Keep up with the latest developments in coverage area in terms of products, markets, models, risk management practices and industry standards

Minimum Skills, Experience and Qualifications

We are looking for someone excited to join our organization. If you meet the minimum requirements below, you are encouraged to apply to be considered for this role.

  • Strong quantitative analytical skills: The role requires a strong quantitative background based on a PhD or Master s degree (or equivalent) in a quantitative discipline such as Mathematics, Statistics, Science, Economics, Engineering, Math Finance.
  • Domain expertise in following areas: Expertise in Statistics, Math Finance, Machine Learning. Knowledge and experience in algorithmic trading/market making strategies such as transaction cost analysis, dark order execution, order placement, price signals.
  • Prior experience in following backgrounds (1-2 years): Quantitative Model Development, Model Validation, Trading or Technology focused on E-Trading including automated execution/market-making algorithms.
  • Prior experience in coding and data processing: Python and kdb+
  • Excellent writing skills: previous experience in writing scientific text with the ability to describe evidence and present logical reasoning clearly.
  • Strong communication skills and ability to interface with other functional areas in the bank on model-related issues
  • Risk and control mindset: ability to ask incisive questions, converge on critical matters, assess materiality and escalate issues

Additional Skills, Experience and Qualifications

The following additional items will be considered but are not required for this role

  • Derivatives pricing knowledge is an asset. Experience in one or more of the following asset classes: Interest Rate/Credit /Equity/FX/Commodity

Role: Analytics / BI Manager

Industry Type: Financial Services

Department: Data Science & Analytics

Employment Type: Full Time, Permanent

Role Category: Business Intelligence & Analytics

Education

UG: Any Graduate

PG: Any Postgraduate

More Info

Job Type:
Employment Type:
Open to candidates from:
Indian

About Company

JPMorgan Chase & Co. is one of the largest and most influential financial institutions in the world. Headquartered in New York City, it offers a wide range of services including investment banking, commercial banking, asset and wealth management, and consumer banking. With a history dating back over 200 years, JPMorgan plays a key role in global finance and is known for its innovation, stability, and strong market presence. The company is led by CEO Jamie Dimon and is a key player in both Wall Street and international financial markets.

Job ID: 109084823

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