Risk Management & Compliance Governance Lead Vice President

JPMorgan Chase & Co.

Columbus (OH)

On-site

USD 150,000 - 190,000

Full time

3 days ago
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Job summary

JPMorgan Chase & Co. in Columbus, OH seeks a Vice President to lead Credit Risk Governance within Risk Management and Compliance.

You will collaborate across Wealth Management functions, develop and maintain policies, and implement risk controls aligned with revenue targets and growth. You will maintain documentation inventories, support audits, and drive large-scale governance initiatives across multiple groups, including Legal, Compliance, and Operations.

Qualifications

  • Bachelor's Degree or commensurate related job experience.
  • 5+ years of experience in Auditing, Accounting, Internal Control and/or Credit Analysis with focus on Wholesale Credit Risk.
  • Strong business writing skills.
  • Experience in Wholesale Audit, Compliance, Operational, and/or Regulatory Risk Management.
  • Demonstrated ability to collaborate cross-functions to achieve measurable results.
  • Strong organizational skills.
  • Ability to manage and prioritize multiple requests at the same time.
  • Detail oriented with strong analytical skills.
  • Proficiency in Microsoft Word, Excel, and PowerPoint.

Responsibilities

  • Work with Wealth Management Risk function to develop and maintain policies, standards, guidelines, and procedures, including regulatory compliance measures and risk advisory within the Risk Management Program.
  • Work closely with the Front Office to assess business needs and further develop risk controls to efficiently achieve revenue target and new business growth.
  • Play a key role in the hierarchy and design of documentation by maintaining full inventory of documents.
  • Review documentation to ensure it is clear, concise, and user-friendly. Perform ongoing updates to existing documentation to ensure they remain accurate and relevant.
  • Assist in developing, design, implementation, and support of line of business risk management framework, including but not limited to: Risk governance and controls, organization structure, policies and procedures, three lines of defense, risk measures and metrics (risk appetite and limits, monitoring and escalation).
  • Deliver large-scale risk and regulatory change and technical initiatives.
  • Communicate changes including detailing requirements and strategic risk management objectives/updates to large working groups, including senior management.
  • Work alongside internal groups such as Credit, Investment, and Fiduciary Risk areas as well as Compliance, Legal, and Operations on matters related to risk controls, model-assessments, incidents, and infrastructure projects.
  • Provide support and guidance for audits and regulatory examinations.

Skills

Strong business writing
Cross-functional collaboration
Organizational skills
Attention to detail
MS Word
MS Excel
MS PowerPoint
multitasking

Education

Bachelor's Degree or commensurate related job experience

Tools

Microsoft Word
Microsoft Excel
Microsoft PowerPoint

Job description

Description

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 Vice President in the Credit Risk Governance team, you will collaborate with global Wealth Management functions, including Risk, Lending Solutions, Operations, Legal, and Compliance. Your role will involve working with the Wealth Management Risk function to develop and maintain policies, standards, guidelines, and procedures, including regulatory compliance measures. You will work closely with the Front Office to assess business needs and develop risk controls to achieve revenue targets and business growth. Your responsibilities will also include maintaining a full inventory of documents and ensuring they are clear, concise, and user-friendly. You will assist in developing and implementing the business risk management framework, including risk governance and controls, organization structure, policies and procedures, and risk measures and metrics. You will also be responsible for delivering large-scale risk and regulatory change and technical initiatives. Communication of changes, detailing requirements, and strategic risk management objectives to large working groups, including senior management, will be a key part of your role. You will also work with internal groups such as Credit, Investment, and Fiduciary Risk areas, as well as Compliance, Legal, and Operations on matters related to risk controls, model-assessments, incidents, and infrastructure projects. Lastly, you will provide support and guidance for audits and regulatory examinations.

Job Responsibilities
  • Work with Wealth Management Risk function to develop and maintain policies, standards, guidelines, and procedures, including regulatory compliance measures and risk advisory within the Risk Management Program.
  • Work closely with the Front Office to assess business needs and further develop risk controls to efficiently achieve revenue target and new business growth.
  • Play a key role in the hierarchy and design of documentation by maintaining full inventory of documents.
  • Review documentation to ensure it is clear, concise, and user-friendly. Perform ongoing updates to existing documentation to ensure they remain accurate and relevant.
  • Assist in developing, design, implementation, and support of line of business risk management framework, including but not limited to: Risk governance and controls, organization structure, policies and procedures, three lines of defense, risk measures and metrics (risk appetite and limits, monitoring and escalation).
  • Deliver large-scale risk and regulatory change and technical initiatives.
  • Communicate changes including detailing requirements and strategic risk management objectives/updates to large working groups, including senior management.
  • Work alongside internal groups such as Credit, Investment, and Fiduciary Risk areas as well as Compliance, Legal, and Operations on matters related to risk controls, model-assessments, incidents, and infrastructure projects.
  • Provide support and guidance for audits and regulatory examinations.
Required qualifications, capabilities, and skills
  • Bachelor's Degree or commensurate related job experience
  • 5+ years of experience in Auditing, Accounting, Internal Control and/or Credit Analysis with focus on Wholesale Credit Risk
  • Strong business writing skills
  • Experience in Wholesale Audit, Compliance, Operational, and/or Regulatory Risk Management
  • Demonstrated ability to collaborate cross-functions to achieve measurable results
  • Strong organizational skills
  • Ability to manage and prioritize multiple requests at the same time
  • Detail oriented with strong analytical skills
  • Proficiency in Microsoft Word, Excel, and PowerPoint
Preferred qualifications, capabilities, and skills
  • Project and/or Change Management experience preferred
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