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Come work with our industry experts to identify, assess and manage risk for our global businesses. You will work with people of all levels across the firm, develop a broad understanding of products and their risks, build your professional network, and develop your expertise in a diverse team environment. Working here means joining a collaborative, supportive team. We want your diverse perspective to help us innovate the next wave of products and solutions for our clients. You’ll have what you need to succeed – from training and mentorship from senior leaders to projects that engage all your skills.

What you can expect

Understanding, mitigating and managing risk is at the forefront of how we do business, and critical to our current and future success. Risk managers help manage our financial reputations and regulatory performance, while working across the business to shape decisions and influence models.

The 9 week summer program starts with a five day orientation and training session followed by two 4 week rotations. Expert instructors and JPMorgan Chase professionals will teach you about our history, our products and the intellectual property that serve our clients. You’ll gain technical and practical knowledge and the inspiration and insight you need for success.

Market Risk works in partnership with the CIB trading businesses. The team tracks market events, performs portfolio analysis and provides risk advisory for multiple asset classes including FX, Rates, Equities, Credit, Securitized Products, and Commodities retained by the firm. Market Risk engages in discussions with all levels of management on the firm’s risk appetite ahead of and during major market events.

Job responsibilities

  • Risk Monitoring: Track and analyse risk sensitivities across the portfolio
  • Financial Modelling: Build financial models to support risk management
  • Partnership: Work closely with the CIB trading businesses setting their risk appetite
  • Global Events: Contribute to stress exercises in response to market events
  • Reporting: Prepare reports with recommendations for senior management
  • Market Evaluation: Assist in evaluating market moves that could impact the firm

You’ll have the chance to

  • Learn from the Best: Understand risk management at a premier global investment bank
  • Collaborative Problem-Solving: Work across the organization to identify and solve problems
  • Innovative Solutions: Develop creative solutions to complex challenges
  • Relationship Management: Manage relationships with clients, regulators, and stakeholders
  • Integrity & Transparency: Learn the importance of these values in dealing with regulators, clients, and partners

Required qualifications, capabilities and skills

Key skills include

  • Analytical: Strong quantitative, project management, and communication skills
  • Communication: Excellent written and oral communication skills in English
  • Financial Markets: A keen interest in global financial markets and exceptional investigative and quantitative skills
  • Flexibility: Energetic and confident approach, thriving in a fast-paced, collaborative environment
  • Multi-Tasking: Ability to handle multiple tasks and work under pressure
  • Tech Skills: Working knowledge of Microsoft Excel, Word, and PowerPoint
  • Diverse Backgrounds: We welcome applications from all degree disciplines, especially those who enjoy numerical and quantitative work
  • Graduation Date: Between April 2025 and December 2026

Preferred qualifications

  • Personal qualities: Demonstrable interests and achievements beyond academia that showcase your unique contributions that you could bring to the team.
  • Coding Skills: Experience in Python or similar coding is advantageous

What’s next?

We will be filling our classes on a rolling basis. We strongly encourage you to submit your application as early as possible before job postings close.

Help us learn about you by submitting a complete and thoughtful application, which includes your resume. Your application and resume is a way for us to initially get to know you, so it’s important to complete all relevant application questions so we have as much information about you as possible. 

To start the application, you will be prompted to enter your email address. Your email address will be used to create and maintain your profile so make sure it is one you will have long term access to. Do not use an email address with “.edu or .ac.uk” extension as doing so could result in delays receiving updates regarding your candidacy. After you confirm your application, we will review it to establish suitability for the role you have applied for.

If you are advanced to the next step of the process, you’ll receive an email invitation to complete a video interview, powered by HireVue. This is your opportunity to further bring your resume to life and showcase your experience for our recruiting team and hiring managers. These questions will focus primarily on your interest in the financial services industry and present you with an opportunity to showcase your motivations to join JPMorgan Chase and the Market Risk department.

The HireVue process is required, and your application will not be considered for further review until you have completed these three questions. We strongly encourage that you apply and complete these required elements as soon as possible, since programs will close as positions are filled.

Join us

At JPMorgan Chase, we’re creating positive change for the diverse communities we serve. We do this by championing your innovative ideas through a supportive culture that helps you every step of the way as you build your career. If you’re passionate, curious and ready to make an impact, we’re looking for you.

JPMorgan Chase is committed to creating an inclusive work environment that respects all people for their unique skills, backgrounds and professional experiences. We strive to hire qualified, diverse candidates, and we will provide reasonable accommodations for known disabilities.