CIB Risk Resume Samples

4.6 (87 votes) for CIB Risk Resume Samples

The Guide To Resume Tailoring

Guide the recruiter to the conclusion that you are the best candidate for the cib risk job. It’s actually very simple. Tailor your resume by picking relevant responsibilities from the examples below and then add your accomplishments. This way, you can position yourself in the best way to get hired.

Craft your perfect resume by picking job responsibilities written by professional recruiters

Pick from the thousands of curated job responsibilities used by the leading companies

Tailor your resume & cover letter with wording that best fits for each job you apply

Resume Builder

Create a Resume in Minutes with Professional Resume Templates

Resume Builder
CHOOSE THE BEST TEMPLATE - Choose from 15 Leading Templates. No need to think about design details.
USE PRE-WRITTEN BULLET POINTS - Select from thousands of pre-written bullet points.
SAVE YOUR DOCUMENTS IN PDF FILES - Instantly download in PDF format or share a custom link.

Resume Builder

Create a Resume in Minutes with Professional Resume Templates

Create a Resume in Minutes
HH
H Herzog
Hudson
Herzog
1051 Anderson Stream
San Francisco
CA
+1 (555) 899 0211
1051 Anderson Stream
San Francisco
CA
Phone
p +1 (555) 899 0211
Experience Experience
San Francisco, CA
Cib-risk-globeclear Transaction Approval Group
San Francisco, CA
Denesik-Rutherford
San Francisco, CA
Cib-risk-globeclear Transaction Approval Group
  • Inform aligned Product Risk Managers about client portfolio activity and issues. Provide line sizing recommendations and exceptions management / solutioning
  • Engage Credit Middle Office to address data linking issues that are uncovered through daily approval function
  • Manage securities and cash payment monitoring/approval function that affects and controls credit exposure within a fast-paced environment
  • Engage in other Data Quality Review and Remediation efforts with various groups
  • Monitor, acknowledge and approve overnight overdraft exposures with focus on root cause and solutions
  • Apply sound operational and credit risk management principles, judgment, research and investigation to support process and to manage credit exposures/ decision approvals within respective approval authority
  • Work with Operations and Client Services to manage priority trades and payments, fail payments, mark payments hold for cover and ensure payments are actioned by cut-off times
Chicago, IL
Cib-risk-executive Assistant
Chicago, IL
Morar LLC
Chicago, IL
Cib-risk-executive Assistant
  • Assist in updating Risk Management Framework documents, Dashboard and APAC Risk SharePoint drives
  • Diary management for Australia & New Zealand Chief Risk Officer, Regional Credit Executive and wider risk team
  • Manage onboarding and offboarding of Risk staff including oversight of onboarding new starters, submission of systems access, building access and related matters
  • Manage room bookings, catering and teleconference facilities for Risk team
  • Work closely with JPM EAs across Asia Pacific and worldwide to coordinate schedules across different timelines
  • Act as main point of contact for teams including Global Securities & Investigations, Global Technology & Information and Real Estate
  • Support visits from offshore executives including desk set up, security access and preparation of meetings
present
Houston, TX
CIB Risk Investor Services Product Risk-team Lead Executive Director
Houston, TX
Murazik-Abernathy
present
Houston, TX
CIB Risk Investor Services Product Risk-team Lead Executive Director
present
  • Develop and maintain Risk policies; provide ongoing policy guidance and review business compliance
  • Serve as a thought leader on how best to use analytics to improve decision making and execute strategic plans
  • Identify and escalate emerging risk issues and matters requiring senior management focus
  • Execute and evidence effective challenge of the business
  • Provide guidance on regulatory initiatives; interface with regulators
  • Knowledge of the IS business and product lines
  • Holistic risk thinking, balancing commercial, risk, regulatory, reputational, and operational impacts of risk recommendations
Education Education
Bachelor’s Degree in Comfort Communicating With Internal Senior Management
Bachelor’s Degree in Comfort Communicating With Internal Senior Management
Kean University
Bachelor’s Degree in Comfort Communicating With Internal Senior Management
Skills Skills
  • Analytical skills; ability to understand risks and their drivers, ability to form, articulate and explain views
  • Attention to detail and strong MS Office skills
  • Solid written and verbal communication and presentation skills
  • Ability to develop partnerships and work with different teams interacting with all levels of people
  • Ability to multi task, prioritize and deal with multiple tasks in a fast paced and evolving environment
  • Ability to operate effectively within a global, regional, and local reporting matrix environment
  • Ability to contribute to enhancements in processes, controls, and systems
  • Experience in interacting with global partners and senior management across the organization
  • Problem-solving skills
  • Willing to participate in deep dive analysis and become the Subject Matter Expert in the appropriate product
Create a Resume in Minutes

15 CIB Risk resume templates

1

Cib-risk-stress Framework Developer Resume Examples & Samples

  • Honours Bachelor's Degree (2.1 or above)
  • Experience with one or more of the following: Scala, Java or Python
  • Strong Object Oriented analysis, design and development skills
  • Focussed on quality, testing and production implementation
  • Financial Domain Knowledge
  • Agile Methodologies (Scrum, Test Driven Development, Continuous Integration)
  • Spring Framework or Google Guice
  • Messaging based architectures e.g. JMS, QPID, AMQP, MQ
  • Experienced in using Relational and NoSQL databases (e.g. MongoDB)
  • RESTful Web Services
  • Unix, / Linux, Shell scripting
  • HTML / CSS
2

Cib-risk-globeclear Transaction Approval Group Resume Examples & Samples

  • Manage securities and cash payment monitoring/approval function that affects and controls credit exposure within a fast-paced environment
  • Manage intraday credit exposures for a portfolio of clients that span various currencies and settlement requirements
  • Apply sound operational and credit risk management principles, judgment, research and investigation to support process and to manage credit exposures/ decision approvals within respective approval authority
  • Engage Client Service and Relationship Management to interact with their clients to determine appropriate funding for shortfalls
  • Monitor, acknowledge and approve overnight overdraft exposures with focus on root cause and solutions
  • Refer payments over allowed credit approval authority to appropriate Credit Officer; provide Credit Officer with decision criteria information to enable an appropriate and timely Credit approval
  • Work with Operations and Client Services to manage priority trades and payments, fail payments, mark payments hold for cover and ensure payments are actioned by cut-off times
  • Coordinate with US TAG team to enable out of EMEA hours coverage
  • Inform aligned Product Risk Managers about client portfolio activity and issues. Provide line sizing recommendations and exceptions management / solutioning
  • Engage Credit Middle Office to address data linking issues that are uncovered through daily approval function
  • Engage in other Data Quality Review and Remediation efforts with various groups
  • Actively participate in client and country crisis management risk mitigation actions including Rapid Exposure Drills (RED) with Credit and Relationship Managers
  • Engage as a subject matter expert for securities and payment systems and processes
  • Participate in projects that relate to core functions as requested by management (e.g. Assist with the development of the Exposure Control Module (ECM), TAS-O, and any other systems that function with credit controls)
  • Be flexible and prepared to engage in Product Risk Management activities
  • Ability to multi-task – systems and activity
  • Deadline driven; act with urgency
  • Ability to work under stress; pressurized environment; calm but assertive
  • Strong team player/ partner
  • Proactive / takes initiative
  • Ability to participate/add value to projects; problem solving
  • Highly valuable experience (can be from a Clearance and/or Custody and/or payments perspective)
  • Settlement environment; managing cut-off deadlines
  • Trade operations experience especially Trade Analysis, Client Services experience
3

Cib-cib Risk-country Risk Assessment & Management Resume Examples & Samples

  • Strong academic background with undergraduate degree in economics, international relations, or finance
  • Ability to work well within small team environment
  • Ability to communicate effectively (verbally & written) and work well under tight deadlines
  • Understanding of capital markets and products/securities traded
  • Advanced Excel/spreadsheet and powerpoint skills a plus
4

CIB Risk-transaction Approval Group Resume Examples & Samples

  • Manage intraday credit exposures for a portfolio of clients and treasury services
  • Work with Operations and Client Services to manage priority payments, fail
  • Engage in other Data Quality Review and Remediation efforts with various
  • 3+ years experience in Credit, Product Management, Operations, or Customer Service
  • Knowledge of treasury services, foreign exchange and multicurrency services desirable
  • Knowledge of payment systems (e.g., CHIPS, Fed, CHAPS)
  • Knowledge of Customer Assist, SBS and Exposure Now preferred
  • Demonstrated ability to exercise good judgment
  • Flexible and adaptable to change
  • Excellent communication skills verbally and written
  • Self-starter capable of working in a time sensitive environment with attention to detail
5

CIB Risk-treasury Services Product Risk Manager Liquidity Management Products Resume Examples & Samples

  • Effective collaboration with business and functional colleagues (Legal, Compliance, Controllers, Audit, IRM) to ensure consistent and rigorous adherence to the JPMorgan risk management framework and practices across the Liquidity Management product set, including developing and maintaining risk policies, new business initiative approval process, control self assessments, risk event analysis and risk management reporting
  • Thought leadership, independent challenge and risk advisory to enable the business to develop an appropriate balance between risk and return
  • Proactive, independent identification, assessment and mitigation of liquidity products risk issues, including credit, operational, market and fiduciary risks
  • Sponsorship for aspects of key projects related to risk issues and for target deep dives on risk issues
  • Anticipate trends, including regulatory requirements, and advise the business in determining appropriate actions and process enhancements to meet these requirements
  • Partner with Investor Services Risk to identify opportunities to leverage best practices across groups
  • Knowledge and experience in Risk Management and/or Cash & Liquidity Management Products and Services highly desirable
  • Initiative and experience in driving strategic adgenda and proactively identifying issues
  • Strong influencing and communication skills (written and verbal) with ability to challenge the status quo, gain consensus and drive change
  • Ability to form strategic views and frame recommendations based on risk assessment
6

Cib-risk Oversight & Controls Resume Examples & Samples

  • Assist Control Officer with coordination of the semi-annual Risk & Control Self-Assessment (RCSA) processes across Risk in accordance with policies and standards. This would include all aspects of the RCSA lifecycle: risk and control identification, risk assessment and ranking (inherent and residual risk analysis), control evaluation (evidence, findings & conclusions) and rating, and reporting and analysis of results
  • Perform analyses of common and recurring control weaknesses, and monitor results and trends in other relevant indicators (i.e., operational losses, model reviews, etc.) across Risk to identify
  • Evaluate, analyze and track all open action plans to insure owners are making progress toward planned completion dates using Phoenix System
  • Assist in the maintenance (scoping, testing, and documentation) of the Sarbanes-Oxley program for Risk
  • Assist Control Officer with the coordination of senior management meetings and preparing related materials
  • Previous experience in Risk Management, Compliance, Surveillance, Internal/External Audit or other control function desired
  • Strong analytical skills with ability to aggregate data, identify root causes and help drive Action Plans to closure
  • Strong business judgment and excellent verbal and written communications skills
7

CIB Risk Resume Examples & Samples

  • Provide support for the Risk Manager, wherever possible advising business partners, other functional groups, and Credit Risk Management on control issues, fiduciary issues, emerging risk trends, product strategy, deals, regulatory issues, risk capital, risk appetite, risk tolerance, and risk priorities
  • Help provide risk advice and support to enable the business to maintain an appropriate balance between risks and rewards
  • Assist with the overseeing of systems and end-to-end operational processes to ensure that controls are appropriate and key operational risks are identified, mitigated or remediated and reported, advising on ways to manage them through enhanced technology, controls, or transparency. Provide input and guidance to product and client reviews
  • Take ownership of key daily market analysis and MIS reporting as required
  • Participate actively in relevant project working groups and committees
  • Provide support and cross train on other products in IS as required ( Cleared Derivatives, Prime Brokerage, Collateral and Globeclear etc)
  • Become the point of expertise for product risk
  • Work on key risk initiatives regionally and globally
  • Provide input and guidance to high severity CSA action plans
  • Provide input for new product structures and New Business Initiative Approvals (NBIAs), highlighting risk management requirements and reflecting them in risk policies
  • Financial services background, with proven experience within the industry is required
  • Attention to detail and strong MS Office skills
  • Analytical skills; ability to understand risks and their drivers, ability to form, articulate and explain views
  • Ability to contribute to enhancements in processes, controls, and systems
  • Ability to operate effectively within a global, regional, and local reporting matrix environment
  • Experience in a previous risk related role preferred
  • Knowledge of the risk management policies and systems is preferred
  • Knowledge of IS products preferable
  • Willing to participate in deep dive analysis and become the Subject Matter Expert in the appropriate product
8

CIB Risk-qr-securitized Products Specialist Resume Examples & Samples

  • Model the profit-and-loss function of securitized products and the statistical properties of the instruments’ price drivers for the use in VaR and Stress VaR
  • Document modeling choices and the statistical arguments supporting those choices
  • Develop on-going testing regimens to ensure that the models behave according to expectations through time
  • Engage with Market Risk Coverage, valuation-model developers and the trading desks to understand products and strategies
  • Participate actively in the development of IT applications and the structuring of data to support VaR modeling choices and efficient, pragmatic daily production
  • Develop productive working relationships with other support functions, including Market Risk Coverage, Middle Office, Operations, Compliance, Technology, and Product Control
  • Advanced degree in a quantitative field such as Mathematics, Physics, Engineering
  • Proficiency in Python and C++ programming preferred. Proficiency in Excel, PowerPoint, VBA programming, SQL expected
  • 2+ years of experience in the valuation or risk management of fixed income instruments focused on securitized products or comparably complex instruments
  • Strong knowledge of statistics and historical time series analysis. Strong understanding of portfolio modeling methodologies such as VaR and familiarity with their implementation
  • Understanding of Profit/Loss explain and attribution processes, as well as the empirical testing of model outcomes
  • Understanding of regulatory requirements for Value-at-Risk and model risk management and governance a plus
  • Effective interpersonal and verbal/written communication skills. Ability to communicate complex topics concisely and concretely
  • Self-starter. Team player. Able to work under pressure, allocate scarce resources and prioritize tasks
9

CIB Risk-qr-var Methodologies & Development Resume Examples & Samples

  • Assess the performance of the VaR model in capturing the risks of specific asset classes, portfolios and products
  • Analyze backtesting data provided by Market Risk Reporting using various quantitative techniques to identify weaknesses in the VaR model. Work with VM&D product specialists and Market Risk Coverage peers to recommend improvements to the model
  • Lead the development of tools for enhanced VaR portfolio analysis
  • Participate in the definition and prioritization of initiatives to enhance the underlying methodologies and technology
  • Degree in Finance, Mathematics, or similar
  • 5+ years experience in Risk Management or similar
  • Strong analytical and quantitative skills. Knowledge of statistics and time series analysis
  • Power user skills in Excel and possibly MS Access or other database tools. Ability to program and work with large data sets
  • Broad knowledge of financial markets, market data and risk sensitivities (greeks)
  • Familiarity with risk measurement and portfolio risk methodologies and implementation
  • Strong written and oral communication skills. Capable of crafting concise, precise, evidence-based arguments, and dealing with senior management and technical specialists in other areas of the firm
10

CIB Risk Credit Portfolio Solutions F&O Resume Examples & Samples

  • Perform research and quantitative analyses on multi asset class portfolios including derivatives such as futures, swaps and options; analyze trading strategies, developing statistical models and perform portfolio simulations
  • Develop and implement stress testing framework with a strong understanding of derivatives valuation models, interpretation of risk analyses and communicating key results
  • Assist senior management (in CPS, Credit Risk and the Business) in identifying key issues, making recommendations based on objective risk analysis; creating and updating presentations, analyzing performance and portfolio simulations and presenting analyses in an intuitive manner
  • Identify concentrated or concerning risk positions and work with Business and risk partners to ensure they are appropriately managed
  • Lead technology initiatives while balancing timelines, budgetary constraints and the cost-benefit of near and long-term solutions
  • Monitor key markets and developments to understand impact on portfolios due to market moves and escalate any concerns on a relatively short notice
  • Develop tools and models to monitor risk exposure of each sector and asset class using statistical methods for risk management, with a focus on hedge fund strategies, CTAs and counterparties that trade commodities
  • Master’s degree or CFA or FRM designations are preferred
  • Prior experience with a Futures & Option Exchange and/or Derivatives Clearing House
  • Experience in risk management including VaR modeling, scenario analysis, stress testing and some familiarity with Clearing House margin methodologies
11

CIB Risk-qr-backtesting Resume Examples & Samples

  • Part of a team to build a platform to backtest the accuracy of VaR risk models for the bank
  • Develop capabilities to explore and understand deficiencies of existing models
  • Propose, implement, and test analytics for new methodologies used in the platform
  • Graduate degree in a technical field, such as Engineering, Physics, Mathematics, or Computer Science
  • Minimum of three years of coding experience using Python, C, or C++. Strong SQL skills is a plus
  • Strong software design and implementation skills. Exposure to large pricing and risk management systems is a plus
  • Knowledge of stochastic calculus or industry experience in derivative modeling is a plus
  • Excellent interpersonal skills. Demonstrated ability to work closely with colleagues from different departments is a plus
12

CIB Risk-credit Portfolio Solutions Resume Examples & Samples

  • Communication skills and ability to interface with all seniority levels within the firm
  • Broad based Risk knowledge; TCP, Derivatives and Product knowledge
  • Excel & PowerPoint knowledge (Pitchpro)
  • Familiarity with exposure generated by derivatives & other traded products
  • Self starter and able to take tasks from start to finish with minimal supervision
  • Proactive mindset is a must; able to identify issues and find solutions
  • Attention to detail and ability to look at processes in the firm holistically and make strategic recommendations for improvement
  • Familiar with firm policy and procedure
  • Minimum Bachelors Degree
13

CIB Risk-country Risk, Professional Resume Examples & Samples

  • Developing guidelines and policies consistent with a comprehensive country risk framework
  • Assigning and maintaining country ratings/outlooks. The candidate would support analytical coverage in various parts of the world, with a focus on APAC. Therefore, knowledge of the APAC region is valued
  • Actively monitoring economic, political and market developments in countries under coverage
  • Writing in-depth country reports in support of analytical conclusions
  • Making internal presentations and rating recommendations to rating committee
  • Producing macroeconomic stress analyses assuming different global conditions
  • Researching specific economics-related topics
  • Interacting with traders and market risk colleagues on risk concentrations and dynamics
  • Strong academic background with Bachelors or Masters-level studies in economics/international relations, finance, and/or mathematics/sciences
  • Understanding of capital markets and products/securities traded. Familiarity with credit and market risk methodologies
  • Interest in stress testing and scenario analysis
  • Ability to work well under tight deadlines
  • Exposure to Bloomberg, Excel (knowledge of VBA a strong +) and PowerPoint
  • Second language other than English preferred
14

CIB Risk-qr-spg-VP-ny, NY Resume Examples & Samples

  • Designing and developing core analytics library for SPG products
  • Evaluating and documenting quantitative methodologies, back-testing and simulating quantitative models
  • Earned a PhD or Master’s degree in math, statistics, physics, financial engineering, computer science or other quantitative fields
  • Great communication and interpersonal skills
  • Knowledge of bond markets, in particular securitized products (RMBS/CMBS/ABS) market, is a plus, but is not a strict requirement
  • Strong software design and development skills using C++, Java, and Python
15

CIB Risk Investor Services Product Risk-team Lead Executive Director Resume Examples & Samples

  • Provide thought leadership and risk advisory to enable the business to develop an appropriate balance between risk and reward
  • Identify and escalate emerging risk issues and matters requiring senior management focus
  • Advise the business on risk considerations of strategy relating to client, product, and infrastructure initiatives
  • Review and approve NBIA/ABIAs, new deals and policy/procedure exceptions
  • Serve as a thought leader on how best to use analytics to improve decision making and execute strategic plans
  • Provide guidance on regulatory initiatives; interface with regulators
  • Design and implement risk awareness training programs
  • Develop and maintain Risk policies; provide ongoing policy guidance and review business compliance
  • Execute and evidence effective challenge of the business
  • Knowledge of the IS business and product lines
  • Expertise across a broad range of risk stripes including credit, operational and fiduciary risk
  • Holistic risk thinking, balancing commercial, risk, regulatory, reputational, and operational impacts of risk recommendations
  • Ability to form effective relationships with senior business and functional leaders; influence decision makers by providing meaningful, unambiguous, and value-added advice
  • Strong analytical skills; able to develop and clearly articulate conclusions
  • Proactive and innovative mindset
  • Demonstrated ability to partner effectively across the Firm and across geographies to drive the risk agenda
  • Takes ownership to drive solutions through to completion
  • Experience of managing a diverse team; setting team priorities and managing their execution
16

CIB Risk Credit Portfolio Group Structurer Resume Examples & Samples

  • Structuring of complex derivative structures with credit, FX, rates, commodities or equity exposure
  • Develop strong relationships with the originating businesses, Credit Risk and Market Risk
  • Active understanding of the CVA & FVA-related credit and market risk in EMEA
  • Work with Product Control/Middle Office/Technology to improve systems and processes
  • Involvement in high level projects on a regional and global basis
  • Onboarding of new asset classes and products including working with QR on new/enhanced pricing models in GAUSS
  • Credit and markets positioning across asset classes, formulating and executing new risk management strategies. Specific focus on the Emerging Market book in EMEA will be beneficial
  • Daily production of the EMEA P&L flash. Daily review and sign-off of the CPT EMEA Risk and P&L reports
  • Strong focus on risk controls and streamlining of operations
  • Strong quantitative background: CFA / Quantitative degree
  • Experience in the pricing and/or risk management of derivative products
  • A deep understanding of financial markets and how the various asset classes interact with each other
  • Must be highly motivated, intellectually curious and able to work independently
  • Trading experience across multiple asset-classes
  • Strong knowledge of Emerging Markets and their hedging products
  • An understanding of capital structure
  • Ability to model and price hybrid and exotics derivatives
17

CIB Risk-counterparty Credit Infrastructure & Capital Resume Examples & Samples

  • Oversee and drive execution of the Counterparty Credit Risk component of CCAR/DFAST, including staying abreast of all latest CCAR guidelines/instructions, analyzing impact of instruction changes, understanding the data and process, and overseeing the timely and accurate creation and validation of the submissions in a repeatable/controlled manner
  • Develop medium to long-term planning and execution of strategies requiring coordination and integration across units or functions on CCAR, including driving the technology agenda
  • Coordinate with business/technology/operations stakeholders, content experts, decision makers, and project managers on regulatory stress testing initiatives
  • Regularly communicate status, ensure key messages are cascaded throughout the organization, and escalate issues as necessary for quick resolution
  • Identify methods for improved operational efficiency and productivity
  • Comprehensive understanding of CCAR/DFAST requirements and regulatory stress testing initiatives
  • Solid understanding of counterparty credit exposure and stress testing
  • Knowledge of traded products and good breadth of experience
  • Strong project management skills with ability to drive issues to closure and handle multiple dependencies
  • Proven ability to lead, taking ownership of issues and having the determination to follow things through
  • Proactive approach to problem solving and meticulous attention to detail
  • Excellent written and verbal communication skills with the ability to influence and engage in dialogue with senior management and peers across geographically distributed and functionally diverse workgroups
  • Appreciation of process mapping and process control
  • Highly proficient in the use of MS Office, in particular PowerPoint and Excel
  • Expertise in CCAR clearly a plus, but if not, sufficient expertise in managing a similar stress testing regime or proven ability to quickly come up to speed in managing a complex financial reporting process comparable in complexity to CCAR
18

CIB Risk-counterparty Credit Infrastructure & Capital Resume Examples & Samples

  • Assist in the preparation and completion of all required FR Y-14 templates with ownership over certain aspects of the deliverables
  • Build expertise in regulatory instructions; assist in instruction interpretation and assessment of impact
  • Complete comprehensive review of data inputs and results to identify and resolve data quality issues, errors, and inconsistencies in data reporting and usage
  • Perform detailed variance analysis to explain changes in exposures from quarter to quarter
  • Maintain process documentation to reflect steps and decisions undertaken to compete deliverables
  • Identify and implement methods for improved operational efficiency and productivity
  • Work on implementation of various technology initiatives related to CCAR and regulatory stress testing
  • Understand and adhere to internal and regulatory risk and control standards and policies
  • Develop strong partnerships with other functional areas to gain understanding of regulatory stress testing requirements, underlying business drivers and issues relevant to the Counterparty Credit Risk stress testing process
19

CIB Risk-wholesale Credit Capital Modeling Resume Examples & Samples

  • Help design and enhance risk models used for regulatory capital modeling (Basel/CCAR). Primary focus is Loss Given Default (LGD), Exposure at Default (EAD), and Utilization models
  • Perform risk analytic tasks including data processing (using various databases and platforms) and statistical analysis
  • Explaining the drivers behind model behavior and impacts of model updates to various stakeholders across the firm
  • Developing documentation and materials that enhance the understanding of wholesale credit risk models
  • Technical skills: Python/R programming, subversion, database and SQL/Oracle
  • Graduate degree and experience in either computer science or a quantitative discipline (e.g. engineering, sciences, computing, statistics, or mathematics), or financial economics with quantitative background
  • The ability and motivation to take initiative and solve problems independently
  • Experience in wholesale risk models, regulatory frameworks, risk analytics a plus
  • Understand external market conditions and regulatory policy changes
  • Proven ability to develop collaborative relationships with key internal partners to achieve objectives
  • The ability to handle multiple initiatives/projects/work streams simultaneously
  • Experience working with regulators and/or risk experience from financial services institution a plus
20

CIB Risk-wholesale Credit Capital Modeling Resume Examples & Samples

  • Excellent programing background in Python (strong candidates in C++ will also be considered)
  • Ph.D./Master degree in a quantitative field such as Computer Science, Engineering, Computational physics/biology, Mathematical finance, etc
  • Proficient in developing in Linux/Unix environment
  • Focus on functional and numerical testing through the entire development cycle to produce reliable and maintainable software
  • Experience in implementing and integrating financial models end-to-end
  • Experience with large-scale Monte Carlo simulation and High Performance computing (multi-core, MPI, grid)
  • Proven ability to develop collaborative relationships with key internal partners to achieve objectives and prioritizations
  • Good financial / Accounting knowledge a strong plus
  • Professional experience a strong plus
21

Cib-risk Assessment & Risk Tolerance Resume Examples & Samples

  • To align with the firm-wide regulatory program and tactically manage and execute the AML and OFAC Risk Assessment and Risk Tolerance program to ensure CIB and the sub LOBs can accurately assess and attest to the levels of AML and OFAC risk. This includes
  • Defining the CIB tactical execution plan and associated milestones (both survey and data related)
  • Establishing CIB Senior Executive agreement & engagement to proposed program and approach
  • Ensuring the overall scope, definitions and other key components of the firm-wide program are applicable and appropriate to the CIB LOBs
  • Ensuring the Program is impactful from a business perspective and aligns with other core business strategies and direction e.g. Risk Tolerance Statements, full and total resonation with how our businesses are managed and run etc
  • Ensure CIB and each sub LOB and required Countries have fully completed thematic risk assessment reports that accurately summarises the current levels of AML and OFAC risk
  • Migrate the Program to a sustainable BAU environment
  • Reviewing and understanding quarterly Risk Tolerance metrics. Analyse key themes to identify and investigate any unusual high risk activity
  • Managing CIB & Sub LOB Risk Tolerance Escalation Threshold Levels
  • Meet various objectives and deliverables of the Annual Risk Assessment and Risk Tolerance long term strategy and goals
  • Adhere to a robust auditable governance process and artefacts to ensure accurate and timely delivery of all Program obligations for CIB. This will include updates to SharePoint, Shared drive libraries and maintenance
  • Contribute to the provision of required project reporting and analysis for CIB CAO Management and the CIB Risk Assessment and Risk Tolerance Internal PMO
  • Play an active role in the rating change control process involving tracking, reconciliation and submission of change controls and rationales to Corporate
  • Prepare analysis on quantitative data to complete risk profiles for each Risk Assessment unit
  • Help maintain a process and documentation to ensure strong controls over the identification, communication, escalation and resolution of key Risks and Issues throughout the life a project
  • Support elements of the plan, tracking progress and supporting the businesses and regions in their local level reporting and management for country and Legal entity reports
  • Participate in UAT for various survey and reporting tools, and document findings
  • A proven self starter with demonstrable analytical traits to make effective decisions around the Annual Risk Assessment and Risk Tolerance programs
  • A very good level of understanding and experience of Proven Project Management roles culminating in the successful and timely implementation of complex projects
  • Excellent communication, influencing and negotiation skills with the ability to lead, establish and communicate at all levels (including LOB Heads)
  • Proven ability to operate effectively in a matrix organization
  • Accountability for ensuring activities and deliverables are reviewed for accuracy and completion, information is validated, and tasks driven to timely completion
  • Strong understanding of CIB Business and Product offering
  • Well organized, detail oriented, process driven and aligned, ability to multitask
  • A willingness to tackle problems and exert influence to achieve objectives
  • Work / Industry Experience
  • At least 2-3 years experience in financial services, preferably in Product/Business environment with strong Project management capabilities
  • AML/Compliance related /KYC/Due Diligence experience and /or experience working in large regulatory projects
  • Ability to identify problems and propose solutions
  • Proactive approach to problem solving, taking ownership of issues and having the determination to follow tasks/issues through
  • Absorb and present complex tactical and strategic ideas quickly and accurately
  • Ability to shift perspective from high level 'big picture' to low-level detail
  • Open attitude towards sharing ideas and knowledge
  • Work independently as well as part of a team
22

CIB Risk-qr Equities Delta VP Resume Examples & Samples

  • Develop pricing models for complex D1 transactions, including different type of non-linarites in the rates space
  • Analysis of hedging strategies
  • Model performance analysis, reserve methodology specification, regulatory analysis, and extension of a Stochastic Borrow Model
  • Documentation and testing of new models, communicating with Model Review Groups in order to make models pass strict in-house standards
  • Implementation of models in C++ and Python proprietary libraries
  • Working closely with technology on integration of models in applications
  • Excellent maths background
  • Excellent knowledge of options pricing theory, stochastic processes and probability theory
  • Excellent C++ skills
  • Strong Python skills
  • Strong communication/presentation skills
  • Advanced degree in a technical field from a top-tier school/program: engineering, sciences, computer science, applied math
  • Knowledge of equity derivatives pricing FD, Monte-Carlo, Numerical methods
  • Knowledge of particle calibration and stochastic rates models is helpful
23

Cib-risk-executive Assistant Resume Examples & Samples

  • Diary management for Australia & New Zealand Chief Risk Officer, Regional Credit Executive and wider risk team
  • Act as Business Resiliency Coordinator for the Risk team
  • Manage incoming calls for Risk team, passing on detailed messages where appropriate
  • Co-ordinate both domestic and international travel for Risk team
  • Manage room bookings, catering and teleconference facilities for Risk team
  • Work closely with JPM EAs across Asia Pacific and worldwide to coordinate schedules across different timelines
  • Manage onboarding and offboarding of Risk staff including oversight of onboarding new starters, submission of systems access, building access and related matters
  • General office administration including stationery orders, requesting system and building access for staff
  • Invoice and expense administration for Risk team
  • Act as main point of contact for teams including Global Securities & Investigations, Global Technology & Information and Real Estate
  • Support visits from offshore executives including desk set up, security access and preparation of meetings
  • Report preparation, review and submission for various Committees and Forums
  • Assist in updating Risk Management Framework documents, Dashboard and APAC Risk SharePoint drives
  • Proven experience within a similar role, ideally working for a professional services organisation (experience within banking/financial services will be highly regarded)
  • Demonstrated ability to successfully prioritise and deliver competing requirements in a professional manner
  • Strong verbal and written communication skills and the ability to manage various stakeholders
  • Strong attention to detail
  • Committed in approach and flexible attitude towards working hours
  • Intermediate experience with MS Suite
  • Min typing speed of 60 wpm
  • Experience using SharePoint and Concur will be highly regarded
24

CIB Risk Wholesale Credit Capital Modelling Resume Examples & Samples

  • Quantitative modeling experience specifically in the credit and/or market risk area for regulatory or economical capital
  • Strong data analysis and statistical modeling experience, such as factor models, copula, regression models
  • Ability to work with large financial data, statistical data (especially time series) analysis
  • Strong programming skills (Python, R, etc)
25

CIB Risk Wholesale Credit Modelling Team VP Resume Examples & Samples

  • Strong data analysis and statistical modeling experience, such as factor models, copula, regression, classification trees
  • Strong analytical programming skills (Python, numpy, pandas, R, SVN, SQL etc)
  • Ability and motivation to take initiative and solve problems independently
  • Ability to handle multiple initiatives/projects/work streams simultaneously
26

CIB Risk Asia Investor Services Product Risk Manager VP Resume Examples & Samples

  • Act as point of expertise for product risk, advising business partners and other functional groups, on emerging and key risk trends, fiduciary issues, product strategy, deals , risk appetite and tolerance
  • To conduct regular risk reviews on the Custody and Fund Services businesses in APAC identifying key risks and mitigation measures. Participate / drive key firm wide risk initiatives
  • In a crisis scenarios, independently assess business processes (e.g. playbooks), highlight risk scenarios / recommend solutions and monitor MIS (exposure reports), Proactively manage risks resulting from existing or potential market events
  • Provide independent risk oversight in key governance forums , including Business Control Committees, Transaction Approval Committees
  • Product specialists acting in advisory capacity to Credit, Country and Operational Risk teams
  • Provide Risk Management oversight and independent challenge of changes to core processes that result from industry regulatory and/or business decisions and strategic initiatives
  • Conduct reviews on new business initiatives, new service/product capabilities and new proposals (or changes) to location strategy
  • Support the business and Credit Risk Management in the review of significant new deals, changes or exceptions to standard legal terms and non-standard arrangements and/or transactions
  • Strategic thinker with strong analytical and project management skills
  • Well-developed leadership and people management skills, ability to drive change; strong influencing skills
  • Excellent written and verbal communication and presentation skills. Ability to understand risks and their drivers and to form, articulate and explain views
  • Confidence and ability to make balanced decisions and effectively represent JPM
  • Experience in interacting with global partners and senior management across businesses and geographies
  • Proactive and self-motivated with the ability to act independently
  • Detailed knowledge of Global custody and Fund services products will be an advantage as will previous Risk and/or audit experience
27

Cib-risk-transaction Approval Group VP Resume Examples & Samples

  • Apply sound operational and credit risk management principles, judgment, research and investigation to manage credit exposures/ decision approvals
  • Work with Operations and Client Services to manage client payment relationships
  • Follow-up with Client Service on aged overdrafts requiring their attention and appropriate prioritization
  • Engage as a subject matter expert for payment systems and processes
  • Liaise with key stakeholders regarding client credit limits/arrangement recommendations to support clients' activities
  • Actively participate in client and country crisis management risk mitigation actions and support business resiliency planning
  • Lead projects that relate to TAG core functions
  • A tertiary qualification in a relevant discipline
  • At least six years of relevant banking experience in Risk, Operations or Product Management
  • Knowledge of securities clearing, custody and/or foreign exchange and multi-currency services highly regarded
  • The ability to work independently and make decisions using a risk and control mindset
  • Excellent relationship and stakeholder management skills
  • Ability to prioritize effectively in a time sensitive environment
  • Pro-active and able to challenge current processes from an efficiency and risk perspective
28

CIB Risk-qr Securitized Products Group Rates VP Resume Examples & Samples

  • Ensuring analytical consistency with other products supported in QR quantitative libraries
  • Supporting trading activities by explaining model and algorithm behavior, carrying out scenario analyses, developing and delivering quantitative tools, and supporting analytics
  • Knowledge of Residential Mortgage Backed Securities (RMBS) market
  • Strong software design and development skills using C++, Python or Java
  • Experience with big data, time series and statistical analysis
  • Knowledge of various interest rate pricing models
29

CIB Risk-qr Treasury Services VP Resume Examples & Samples

  • Perform large-scale analysis on our proprietary dataset
  • Build prototype models with data pipelines that serve as roadmap to production
  • Make real-world, commercial recommendations through effective presentations to various stakeholders
  • Leverages data visualization to communicate data insights and results
  • Ongoing desk support
  • Strong technical skills in data manipulation, extraction and analysis
  • Mastery of software design principles and development skills using one of C++, Python, R, Java, Scala
  • Previous practical experience in solving machine learning problems using open-source packages
  • Participation in KDD/Kaggle competition or contribution to GitHub highly desirable
30

CIB Risk-qr Treasury Services Executive Director Resume Examples & Samples

  • Identify new insights that drive feature modelling
  • Document and test new/existing models in partnership with control groups
  • Work closely with technology on model integration with front end applications
  • A master’s or Ph.D. degree program in computer science, statistics, operations research or other quantitative fields
  • Fundamental understanding of statistics, optimization and machine learning methodologies
31

CIB Risk-credit QR Bond Electronic Market Making Analystics Resume Examples & Samples

  • Development and support of algorithms for generating trade ideas & related content
  • Analysis of trading patterns and resulting commercial opportunities
  • Engage on strategic cross asset solutions
  • Build & maintain close relationship with Sales & Trading
  • Ongoing support of the credit flow desk
  • Strong communication skills; candidate will require to face Sales/ Trading in daily activities
  • Some OO designs skills is required, in addition, Python would also be a plus
  • Strong statistical and probabilistic skills
  • Some internship/ experience in a financial institution
  • Attention to details, thorough and persistent in delivering production quality analytics
  • Ability to work in a high-pressure environment
  • Pro-active attitude. Should have a natural interest to learn about our business, models, and infrastructure