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About J.P. Morgan Corporate & Investment Bank J.P. Morgan's Corporate & Investment Bank is a global leader acrossbanking, markets and investor services. The world's most importantcorporations, governments and institutions entrust us with their business inmore than 100 countries. With $18 trillion of assets under custody and $393billion in deposits, the Corporate & Investment Bank provides strategicadvice, raises capital, manages risk and extends liquidity in markets aroundthe world. Our business JPMorgan Chase & Co. is a leading global financialservices firm with assets of more than $2 trillion, over 265,000 employees andoperations in over 60 countries. It operates across four business segmentsincluding Asset & Wealth Management, Corporate and Investment BankingCommercial Banking, Consumer and Community Banking. Through collaboration, intellectual curiosity andcreativity, you can accomplish extraordinary things at J.P. Morgan. Our peopledo outstanding work by partnering with clients and each other to generatepositive change in our local and global communities every single day. We arecommitted to your growth and development. We offer opportunities across all ofour businesses that can take you in any direction you want to go and leaderswho will support you in getting there.
Work closely with Senior Desk Analysts and Traders to analyze businesses and capital structures (Loans, Bonds, CDS) across Distressed, High Yield and High Grade credit markets
Develop credit opinions in conjunction with senior analysts and traders to both inform our trading view and share with clients
Collaborate with peer desk analysts, credit publishing analysts, sales, and other stakeholders to manage the firm's risk and serve our clients
1-3 years of experience in an analyst capacity at a major North American firm in one of the following areas: Investment Banking, Syndicated Finance, Credit/Equity Research, Credit Risk Management
Bachelor's degree in Economics, Accounting, Finance, Engineering, Statistics, or related quantitative field
Must have experience analyzing companies' financial statements (Balance Sheet, Income Statement, Cash Flow Statement), with strong financial modeling experience in Excel
Knowledge of corporate capital structures, including corporate bonds, leveraged loans, CDS, public / private equity
Strong MS Office skills (Excel, Word, Powerpoint)
Strong communication skills, ability and willingness to learn on the job, work well with peers, and a strong ability to multi-task
Internal Number: 5871076
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