
Asset Management - MAS Investment Director Review - Vice President
JPMorgan Chase & Co., New York, NY, United States
Join a global team where your analytical skills and passion for investment risk management make a real impact. At JPMorgan Chase, you’ll collaborate with experts, develop your career, and help shape the future of multi-asset investing. You’ll be empowered to innovate, learn, and contribute to rigorous oversight frameworks that support client success. We value your unique perspective and encourage you to grow in a dynamic, inclusive environment.
Job summary
As an MAS Investment Director Review - Vice President on the Investment Director Review Team within Multi Asset Solutions, you will support risk management and investment oversight for a wide range of global portfolios. You’ll work closely with portfolio managers, CIOs, and stakeholders to maintain a robust risk framework and facilitate quarterly investment reviews. In this collaborative role, you will contribute to analytical projects, automate processes, and help drive performance across diverse strategies. Your work will help ensure our investment processes remain disciplined, transparent, and client-focused.
Job responsibilities
- Support risk management and investment oversight for Multi Asset Solutions strategies globally.
- Facilitate quarterly investment review processes and monitor risk and performance measures.
- Maintain ongoing dialogue with investment teams and liaise with corporate groups.
- Participate in projects developing analytical solutions and supporting infrastructure.
- Analyzing risk profiles of portfolios and assisting in automating reporting processes.
- Contribute to the agenda and materials for Investment Director Review meetings and support senior team members
- Conduct performance and risk analysis across a wide array of products and strategies and ensure accuracy and clarity in all reporting
Required qualifications, skills and capabilities
- Strong quantitative and analytical skills, including data analysis
- Fluent Python programming skills for risk analysis and process automation
- Strong familiarity with Tableau
- Broad experience in investment or risk management with equity and fixed income products
- Postgraduate degree with keen interest in investment and risk management
- Excellent written and verbal communication skills
- Strong interpersonal and organizational skills
Preferred qualifications, skills and capabilities
- Background in investment management, risk, quantitative analysis, manager research, or product control
- CFA or FRM qualification
- Familiarity with MSCI Risk-Metrics
- Understanding of multiple asset classes and portfolio management practices
- Experience building and maintaining relationships across long distances
- Ability to contribute to process automation and reporting improvements
- Experience supporting senior management and fund Boards