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JPMorgan Chase & Co . is a leading global financial services firm with assets of more than $2.7 trillion, over 240,000 employees and operations in over 60 countries. It operates across four business segments including Asset & Wealth Management, Corporate and Investment Banking, Commercial Banking and Consumer and Community Banking .
J.P. Morgan Asset & Wealth Management, is a global leader in investment and wealth management. Its clients include institutions, high-net-worth individuals and retail investors in every major market throughout the world. The division offers investment management across all major asset classes including equities, fixed income, alternatives, multi-asset and money market funds. For individual investors, the business also provides retirement products and services, brokerage and banking services including trusts and estates, loans, mortgages and deposits.
Asset Management: Asset Management is a leading investment manager of choice for institutions, financial intermediaries and individual investors, worldwide. With a heritage of more than two centuries, a broad range of core and alternative strategies, and investment professionals operating in every major world market, we offer investment experience and insight that few other firms can match.
This member of the MAS Portfolio Management Team will be working with senior portfolio managers on the Multi Asset Income and Global Allocation strategies, providing quantitative investment analysis, providing research on market related topics, and developing tools for managing portfolios.
Develop and maintain robust and dynamic investment, risk management, and performance analysis tools for use in investment decision making process
Partner with Quantitative Research and/or Technology Teams to develop innovative approaches, tools, and techniques for modeling and analyzing markets, investment strategies, and trading instruments
Support research projects for multi-asset class investment strategies - market related or portfolio construction related, using returns-based and holdings-based techniques; make recommendations based on findings
Day to day portfolio management responsibilities - including position monitoring/reporting, managing orders and executing trades; monitoring cash and security activity in managed sleeves
Help identify opportunities and formulate solutions for improving efficiency of current portfolio management and trading processes
Degree from a top school in a technical field - economics, mathematics/statistics, physics, computer science, financial engineering
At least 2 years of experience in a markets related role
Very strong technology skills - advanced Excel skills (complex formulas and VBA); proficiency with Bloomberg (and interconnectedness with Excel); ability to code
Strong command of quantitative methods, statistics, portfolio construction/optimization, risk measurement/management, and performance attribution techniques
Attention to detail, ability to multi-task, and prioritize under pressure
Ability to work collaboratively to achieve team objectives
Internal Number: 6523272
eFinancialCareers is a career site specializing in financial services.