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Asset Management Fixed Income Independent Risk - Executive Director

J.P.

Morgan Asset & Wealth Management delivers industry-leading investment management and private banking solutions.

Our Asset Management provides individuals, advisors and institutions with strategies across the full spectrum of asset classes, powered by a global network of investment professionals.

Wealth Management partners with individuals, families, and foundations to help them define, focus, and realize their financial goals.

As Executive Director (ED) within the Asset Management Independent Risk function, you will drive responsible growth by helping the firm understand, manage, and anticipate risks in a dynamic environment.

You will act as the primary independent risk partner for US Fixed Income strategies, including Investment Grade and High-Yield Corporate Credit, Municipal Markets, and Retail Separately Managed Accounts (SMA).

Leveraging your deep understanding of markets and portfolio behavior, you will apply expert judgement to guide decisions that balance fiduciary responsibility, client outcomes, and innovation.

Your responsibilities will include oversight in areas such as investment, liquidity, and counterparty risks, assessed through risk sensitivities, valuation, stress tests, and ad-hoc deep-dive analysis.

This role requires a profound understanding of Fixed Income markets, products, and associated risks, along with the ability to lead a team and contribute to our global agenda.

Your efforts will support our goal of maintaining strong controls and managing risks effectively.

Job responsibilities


* Initiate and lead the development and enhancement of risk oversight and governance structures, ensuring robust control, monitoring, and measurement of risks cross the organization.


* Initiate and lead the analysis of market events and macroeconomic trends, assessing their potential impact on the fixed income portfolios.


* Serves as the primary point of contact for communicating risk insights and recommendations to senior management, boards, and external stakeholders.


* Build and maintain strong relationships with key stakeholders, including portfolio managers, investment directors, and external partners, to facilitate effective collaboration in risk management.


* Collaborate with other risk management teams within the firm to ensure consistency and alignment of risk practices and strategies where appropriate.


* Lead and mentor a high-performing risk management team, fostering a culture of excellence, collaboration, and continuous improvement.


* Champion the adoption of innovative risk management practices to align with the long-term vision of the organization, focusing on future opportunities and sustainable solutions.

Required qualifications, capabilities, and skills


* Minimum 10 years of direct experience in Fixed Income Market Risk coverage, Portfolio Management, Trading, and/or Investment Risk.


* Proven ability to navigate and manage complex, ambiguous situations effectively.
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