VP, Equity Risk Management — Independent Oversight

JPMorganChase

New York (NY)

On-site

USD 150,000 - 230,000

Full time

7 days ago
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Job summary

JPMorganChase in New York is seeking a Vice President to lead risk management for US Equity strategies within Asset Management Independent Risk. You will engage with business partners, drive complex initiatives, and influence decision-making across the team to balance fiduciary duties, client outcomes, and innovation.

We value strong communication, mentorship, and the ability to navigate ambiguous situations while ensuring robust controls and risk governance across portfolios and markets.

Qualifications

  • Minimum 5 years of direct experience in Equity Market Risk Coverage, Portfolio Management, Trading, or Investment Risk.
  • Ability to manage complex, ambiguous situations.
  • Experience mentoring and developing junior team members.
  • Strong communication and interpersonal skills.
  • Initiative and ability to achieve objectives with minimal supervision.
  • Commitment to inclusiveness and valuing diverse perspectives.
  • Strategic thinker aligning risk management with long-term vision.

Responsibilities

  • Lead risk oversight and governance structures.
  • Analyze market events and macroeconomic trends.
  • Communicate risk insights to senior management and stakeholders.
  • Build relationships with portfolio managers and investment directors.
  • Collaborate with other risk management teams.
  • Mentor and develop a high-performing risk management team.
  • Champion innovative risk management practices.

Skills

Equity Risk
Portfolio Mgmt
Trading
Investment Risk
Mentoring
Communication

Tools

Python
Alteryx
SQL
Tableau

Job description

JPMorganChase in New York is seeking a Vice President to lead risk management for US Equity strategies within Asset Management Independent Risk. You will engage with business partners, drive complex initiatives, and influence decision-making across the team to balance fiduciary duties, client outcomes, and innovation.

We value strong communication, mentorship, and the ability to navigate ambiguous situations while ensuring robust controls and risk governance across portfolios and markets.

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