US Jobs US Jobs     UK Jobs UK Jobs     EU Jobs EU Jobs


Risk Management - Credit Portfolio Analytics, Senior Associate

Bring your Expertise to JPMorgan Chase.

As part of Risk Management and Compliance, you are at the center of keeping JPMorgan Chase strong and resilient.

You help the firm grow its business in a responsible way by anticipating new and emerging risks, and using your expert judgement to solve real-world challenges that impact our company, customers and communities.

Our culture in Risk Management and Compliance is all about thinking outside the box, challenging the status quo and striving to be best-in-class.

As a Senior Associate in Credit Portfolio Analytics team, you will deliver portfolio monitoring, risk analysis, and insights reporting across a large commercial loans portfolio.

Additionally, you will interact frequently with senior stakeholders, using your analytics expertise and stakeholder management skills to translate complex findings into clear, actionable narratives.

You will support strategic priorities by providing timely, data-driven insights that inform portfolio management and risk decisions.

Together, we drive impactful results and support critical business objectives.

Job Responsibilities


* Execute a comprehensive portfolio risk analysis strategy to strengthen credit risk reporting and analytics for the commercial lending portfolio, delivering clear insights and deep-dive analysis to inform risk management decisions


* Analyze granular credit data to identify and communicate key findings to senior stakeholders, providing ongoing visibility into portfolio health, client selection, and credit risk drivers


* Design and manage high-quality data analysis, dashboards, and reporting processes that meet internal and regulatory expectations for executive management decision making


* Own and deliver ad-hoc analytics for senior stakeholders, translating urgent and ambiguous requests into well-scoped analyses and executive-ready outputs aligned to strategic priorities


* Serve as a subject matter expert for portfolio data and reporting products, partnering across Risk, Finance, Product, and Technology to improve data quality, controls, and scalability


* Drive innovation and automation by evaluating and adopting new analytics methods and tools to improve speed, consistency, and insight quality

Required qualifications, capabilities, and skills


* Bachelor's or master's degree in Finance, Data Science, Computer Science, Business, Economics, or a related field


* Minimum 4 years of experience in analytics, insights reporting, business intelligence, or portfolio/risk analytics in financial services (or equivalent experience)


* Strong experience working with large datasets and delivering insights using tools such as Tableau, SQL, Alteryx, Python, or R


* Experience with business intelligence and data visualization tools, including the ability to create executive-ready materials


* Strong stakeholder management skills and excellent written and verbal communication, including the ability to explai...




Share Job