Resolution Stress Testing Markets - Vice President
Company: JPMorgan Chase & Co.
Location: Brooklyn
Posted on: April 1, 2026
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Job Description:
Description Looking for a role where you can further develop
your knowledge of Markets businesses, use your analytical and
quantitative skills and work with stakeholders across the Firm to
drive a challenging agenda? As a Vice President in our Resolution
Stress Testing team, you will play a crucial role in shaping our
strategic response to regulatory challenges, working with our
Corporate & Investment Banking (CIB) lines of business, Corporate
Treasury and second line experts in Market Risk, Valuation Control
Group, Liquidity Risk Management and Model Risk Governance. This
position offers exposure to senior management, regulatory
engagement, and the chance to work on high-profile projects. Join
us and be part of a diverse, inclusive team that values innovation
and collaboration. As a Vice President in the Resolution Stress
Testing team, you will be at the forefront of developing our
strategy to wind down markets businesses during a recovery or
resolution event. You will work closely with various lines of
business to develop strategies for packaging and selling our
markets business. Your role will involve developing approaches to
and quantifying exit costs, estimating liquidity impacts, and
assessing Risk-Weighted Assets (RWA) as a result of the strategy.
This is a unique opportunity for someone interested in treasury
concepts, capital markets and stress testing to contribute to the
firm's financial resilience and to build a broad suite of skills.
Play a crucial role in shaping the firm’s strategic response to
regulatory challenges and gain exposure across the organization to
develop your expertise in stress testing in deep market and
idiosyncratic scenarios considered in Recovery and Resolution
Planning. Our team is dedicated to ensuring the firm's stability
and compliance with regulatory requirements. You will collaborate
with experts across different functions, providing you with a
holistic view of the financial landscape. Your contributions will
directly influence our strategic decisions and help us navigate
complex regulatory environments. If you are a dynamic individual
with intellectual curiosity and a strong track record of insightful
analysis and control focus, we invite you to apply and be part of
our innovative team. Job Responsibilities: Develop strategies for
the orderly wind down of trading and derivative activities.
Collaborate with lines of business to develop approach to package
and sell markets businesses. Develop approach to quantify exit
costs in various scenarios. Estimate liquidity and Risk-Weighted
Assets (RWA) impacts. Contribute to Resolution Financial Analytics,
including regulatory submissions. Present results to senior
stakeholders. Review and refine methodologies and approaches. Drive
continuous improvement and develop new methodologies and system
functionalities. Required Qualifications, Capabilities, and Skills:
Strong working knowledge of derivatives pricing and P&L,
securities, secured financing, market, and/or counterparty credit
risk or valuations experience. 7 years of experience in financial
analysis or a related field. Strong analytical, investigative
problem-solving, and decision-making skills. Ability to take
initiative and solve problems independently. Excellent
communication skills, particularly in explaining technical
concepts. Proficiency in Excel and PowerPoint. Familiarity with
automated solutions, such as Alteryx, or desire to learn Strong
relationship-building skills and the ability to engage various
functions and locations. Comfortable with detailed independent
analysis and coordinating input from others. Good organizational
skills & planning ability Strong teamwork and communication skills
with the ability to work under pressure and to strict deadlines
Strong interpersonal and influencing skills to be able to work
closely across different stakeholders Preferred Qualifications,
Capabilities, and Skills: Experience in developing Qualitative
Models and model review. Familiarity with regulatory requirements
and compliance. Experience in stress testing or similar financial
resilience assessments. NOTE: This position is not eligible for
sponsorship.
Keywords: JPMorgan Chase & Co., North Bergen , Resolution Stress Testing Markets - Vice President, Accounting, Auditing , Brooklyn, New Jersey