Credit Risk Officer (Hedge Funds & Asset Managers) - Vice President

JPMorganChase

Hong Kong

On-site

HKD 1,000,000 - 1,300,000

Full time

14 days+
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Job summary

J.P. Morgan is seeking a Vice President Credit Risk Officer to cover a portfolio of APAC hedge funds and asset managers.

You will assess counterparty risk, set credit appetite, establish limits and mitigants, and monitor exposures across traded products in a dynamic region. You will lead client due diligence meetings (virtual and in person), drive end-to-end transaction approvals, and translate market and regulatory developments into actionable risk insights.

Qualifications

  • Bachelor's degree in Business, Finance or related field.
  • Minimum of 6 years of experience in credit risk or counterparty risk within financial services.
  • Strong understanding of counterparty credit risk and mitigants (limits, margin, collateral, documentation).
  • Ability to assess risk measures such as VaR, stress loss, mark-to-market, scenarios.
  • Excellent written and verbal communication; able to summarize complex risk issues clearly.

Responsibilities

  • Own primary credit coverage for APAC hedge funds and asset managers, including ratings and monitoring.
  • Lead client due diligence meetings (virtual and in person).
  • Structure and drive end-to-end transaction approvals and terms.
  • Evaluate exposure and risk analytics (VaR, stress loss, data-driven insights).
  • Deliver timely risk recommendations balancing business needs and risk discipline.
  • Translate market and regulatory developments into actionable portfolio insights.
  • Collaborate with risk, business, and legal teams to ensure alignment and execution.
  • Coach junior team members and share guidance to develop judgment and ownership.

Skills

Credit risk
Counterparty risk
VaR
Financial markets
Excel
Communication
Risk analytics
Collaboration

Education

Bachelor's degree

Tools

Microsoft Office
Excel
PowerPoint
Word

Job description

Job Description

Strong risk judgment helps markets function—and protects clients and firms through change. In this role, you will influence real outcomes for sophisticated hedge funds and asset managers across a dynamic region. We'll count on you to bring clear thinking, credible challenge, and a collaborative approach to complex decisions. You'll grow your portfolio ownership while helping improve how we assess, structure, and monitor risk.

As a Credit Risk Officer (Vice President) in the Hedge Funds & Asset Managers Credit team, you will be the primary credit coverage for a portfolio of APAC hedge funds and asset managers. You will assess and manage counterparty credit exposure across traded products, applying rigorous onboarding due diligence, continuous monitoring, and timely escalation of material risks. You'll partner closely with stakeholders across risk, the business, and legal to structure transactions and set appropriate credit appetite, limits, and mitigants. You'll bring a forward-looking perspective on market and regulatory developments and translate that into practical risk actions. You'll help uphold consistent credit standards while contributing to process and control improvements.

Job Responsibilities
  • Own primary credit coverage for a portfolio of Asia-Pacific hedge funds and asset managers, including internal ratings, credit appetite, ongoing monitoring, and timely escalation of material risk issues
  • Lead client due diligence meetings (virtual and in person), building credibility through clear communication, active listening, and well-framed questions
  • Structure and drive transaction approval processes end-to-end, assessing trading activity, margin requirements, structural mitigants, and key legal documentation terms
  • Evaluate exposure and risk analytics (for example, Value at Risk, stress loss, mark-to-market, sensitivities, and scenario analysis), explaining strengths and limitations to support sound credit decisions
  • Deliver clear, timely, and well-supported risk recommendations that balance business priorities with independent credit judgment and strong risk discipline
  • Translate market, regulatory, and industry developments into actionable portfolio insights, themes, and risk management actions
  • Partner constructively with stakeholders across risk, the business, and legal—aligning on priorities, challenging appropriately, and enabling high-quality execution
  • Collaborate with global credit counterparts to align standards, risk views, and portfolio themes, supporting a consistent coverage model
  • Identify gaps in tools, processes, controls, or policy application, and drive practical improvements that strengthen execution quality and risk management
  • Coach junior team members by providing feedback, challenging their recommendations, and sharing guidance that improves judgment, ownership, and development
  • Contribute to an inclusive, respectful team culture by escalating concerns early, sharing lessons learned, and supporting continuous improvement
Required Qualifications, Capabilities, And Skills
  • Bachelor's degree in Business, Finance or a related field.
  • Minimum of 6 years of experience in credit risk, counterparty risk or a closely related risk management role within financial services.
  • Strong understanding of counterparty credit risk, including how it arises across traded products and how it can be mitigated through limits, margin, collateral, structure and documentation.
  • Ability to assess risk measures such as VaR, stress loss, mark-to-market, sensitivities and scenario analysis, including their strengths, limitations and practical use in credit decisions.
  • Knowledge of financial markets, macro and micro drivers, and the risk profiles of Hedge Funds, Asset Managers or Financial Institutions.
  • Strong knowledge of prime brokerage, OTC & listed derivatives, securities financing, fund financing, margining, collateral and legal documentation concepts relevant to fund clients.
  • Sound judgment, strong written and verbal communication skills, and the ability to summarize complex risk issues in a clear, concise and organized manner.
  • Strong ownership, attention to detail and ability to manage multiple priorities while maintaining high-quality execution.
  • Proficiency in Microsoft Office, especially Excel, PowerPoint and Word; ability to use data and analysis to support risk decisions.
Preferred Qualifications, Capabilities, And Skills
  • Relevant post-graduate qualifications, such as CFA, FRM or a Master of Finance.
  • Experience conducting client-facing due diligence with hedge funds, asset managers, or financial institutions
  • Experience partnering across regions and functions to align credit standards, portfolio reviews, or risk initiatives
  • Demonstrated ability to synthesize market and regulatory developments into clear risk implications for senior stakeholders
  • Experience assessing fund strategies and translating strategy risks into practical counterparty credit views and risk actions
ABOUT US

J.P. Morgan is a global leader in financial services, providing strategic advice and products to the world's most prominent corporations, governments, wealthy individuals and institutional investors. Our first-class business in a first-class way approach to serving clients drives everything we do. We strive to build trusted, long-term partnerships to help our clients achieve their business objectives.

We recognize that our people are our strength and the diverse talents they bring to our global workforce are directly linked to our success. We are an equal opportunity employer and place a high value on diversity and inclusion at our company. We do not discriminate on the basis of any protected attribute, including race, religion, color, national origin, gender, sexual orientation, gender identity, gender expression, age, marital or veteran status, pregnancy or disability, or any other basis protected under applicable law. We also make reasonable accommodations for applicants' and employees' religious practices and beliefs, as well as mental health or physical disability needs. Visit our FAQs for more information about requesting an accommodation.

About The Team

J.P. Morgan's Commercial & Investment Bank is a global leader across banking, markets, securities services and payments. Corporations, governments and institutions throughout the world entrust us with their business in more than 100 countries. The Commercial & Investment Bank provides strategic advice, raises capital, manages risk and extends liquidity in markets around the world.

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