Credit Risk Management and Analytics Senior Associate

JPMorgan Chase & Co.Columbus, OH
$92,150 - $151,000

About The Position

As a Credit Risk Measurement and Analytics Associate in Credit Risk Measurement and Analytics, you help us measure, monitor, and communicate credit and market risk across marketable-securities-backed lending, capital markets, and derivatives activity. You work with partners across risk, lending and trading solutions, lending teams, investors, and finance to help ensure collateral frameworks, stress testing, and risk appetite measurement are robust and timely. You join a global, delegated coverage model spanning multiple regions, where we actively manage risk through proactive analytics and high industry standards. You will guide decision-making by translating fast-moving market events into practical risk insights and clear recommendations.

Requirements

  • 3+ years in an analytical, technical, trading, or research-oriented role
  • Academic background in, or professional experience with, financial mathematics, quantitative risk methodologies, and/or data science
  • Broad financial product knowledge required; professional experience in credit risk management or market risk management
  • Practical knowledge of Python and associated data analytics packages
  • Practical knowledge of Tableau or other Business Intelligence (BI) / Data Visualization Tools
  • Practical knowledge of Microsoft Office suite (Excel/PowerPoint/Word)
  • Excellent communication and interpersonal skills
  • Good team player and high sense of ownership
  • Demonstrated ability to collaborate across teams and stakeholders

Nice To Haves

  • Undergraduate degree required, concentrations in technical disciplines preferred; Graduate degree or professional designations a plus
  • Professional experience in credit risk management or market risk management
  • Professional experience supporting derivatives activity
  • Experience with business intelligence and data visualization tools (for example, Tableau)
  • Experience with Python and associated data analytics packages (preferably in a professional environment)
  • Experience supporting stress testing deliverables and related governance processes
  • Experience improving control frameworks, documentation, reporting, or metrics in a risk environment

Responsibilities

  • Measure and monitor credit and market risk across various activities
  • Communicate risk insights and recommendations to stakeholders
  • Collaborate with partners in risk, lending, trading, and finance
  • Ensure collateral frameworks and stress testing are robust
  • Support risk appetite measurement and reporting
  • Translate market events into actionable risk insights
  • Maintain high industry standards in analytics
  • Guide decision-making with practical risk analysis
  • Manage risk proactively across global regions
  • Contribute to documentation and control frameworks
  • Foster teamwork and collaboration

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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