Asset Management - Securitized Credit Research Analyst - Vice President/Executive Director

JPMorgan Chase & Co.•New York, NY
•$200,000 - $350,000

About The Position

The Global Fixed Income, Currency and Commodities team (GFICC) at J.P. Morgan Asset Management is a leading fixed income manager with expertise across various sectors. The Securitized Credit Research team within GFICC is responsible for fundamental investment research and analysis across securitized credit assets, including ABS, CLOs, CMBS, and non-agency RMBS, managing over $80bn in securitized credit AUM. As a research analyst on this team, you will conduct fundamental research and drive investment performance across securitized credit sectors, with a focus on ABS and/or non-agency RMBS investing, utilizing both quantitative and qualitative analysis.

Requirements

  • 7+ years of meaningful securitized credit experience across one or more sub-sectors
  • Demonstrated knowledge of one or more securitized sectors including ABS and/or non-agency RMBS
  • Proficiency with Intex and/or Trepp
  • Excellent written and verbal communication skills, with the ability to communicate concisely and effectively under typically stringent time constraints
  • Proven ability to work effectively in a team-oriented environment and successfully manage multiple tasks

Nice To Haves

  • Programming skills are a strong plus
  • Ideal experience as a research analyst, portfolio manager, banker, structurer, or trader

Responsibilities

  • Conduct comprehensive sector and issuer due diligence, actively tracking trends, performance, and macroeconomic drivers to formulate well-supported investment recommendations for sectors and individual securities
  • Formulate clear, actionable buy/sell recommendations in both new issue and secondary markets and effectively communicate them to the broader investor community, including through detailed written credit opinions
  • Proactively monitor market themes and sector trends to identify compelling investment opportunities
  • Conduct rigorous surveillance and monitoring to identify risks to holdings while continuously enhancing surveillance tools and processes
  • Develop sophisticated models to enhance investment analysis and forecast performance for consumer or real-estate related assets
  • Aggregate and analyze large sets of data to rigorously develop and test investment opinions
  • Build and maintain strong relationships with both internal and external participants, including portfolio managers, investment specialists, issuers, rating agencies, and broker-dealers

Benefits

  • comprehensive health care coverage
  • on-site health and wellness centers
  • a retirement savings plan
  • backup childcare
  • tuition reimbursement
  • mental health support
  • financial coaching
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