Country Risk - Analyst

JPMorgan Chase JPMorgan Chase · Banking · Mumbai, Maharashtra, India · Commercial & Investment Bank

JPMorgan Chase is seeking a Country Risk Analyst in Mumbai to contribute to the development of Country Risk's stress framework, support enhanced risk measures, and work with the sovereign analyst team. The role involves focusing on the control environment, assisting in business requirements development, performing deep dive stress analyses, and engaging with front office and risk colleagues. Responsibilities include developing stress explain tools, analyzing risk drivers, and leveraging Gen AI for data science driven insights.

What you'd actually do

  1. Contribute to the development of Country Risk’s stress framework, including robust stress explain tools and detailed analysis of risk drivers
  2. Support the advancement of enhanced risk measures and delivery of data science driven insights, including leveraging Gen AI and other intelligent solutions
  3. Work closely with sovereign analyst team to communicate underlying market and credit risk stress drivers
  4. Focus on control environment, including limit management, audit and regulatory requests
  5. Contribute to broader initiatives, particularly those related to wrong way exposures, LE reporting and Risk Appetite, in addition to new business initiatives and transaction analyses by assessing their impact on country risk

Skills

Required

  • undergraduate degree in economics, finance, mathematics, sciences, or related discipline
  • Familiarity with credit or market risk products & enthusiasm for financial markets
  • Strong written & verbal communication; comfortable presenting and explaining complex topics and analysis
  • Team-oriented personality; ability to work in small teams across functions, regions and seniority levels
  • Excellent attention to detail and diligent at following up on issues; proactive attitude, intellectually curious
  • Strong Microsoft Office skills, particularly Excel

Nice to have

  • experience working with large data sets
  • VBA
  • Python
  • Tableau
  • Alteryx
  • Prior experience in risk management, product control or a financial analysis and reporting function
  • Experience with capital stress testing or associated models
  • Understanding of stress methodology and metrics