Markets Operational Risk Management – Vice President

Company: J.P. MORGAN
Apply for the Markets Operational Risk Management – Vice President
Location: London
Job Description:

As a Vice President within the EMEA Commercial & Investment Bank (CIB) Markets ORM team you will be a part of a global team of risk professionals from a diverse range of backgrounds and experience who collectively ensure that the Firm’s Operational Risk Management Framework is implemented and functions effectively within CIB Markets

Job Responsibilities

  • Leverage the Firmwide CCOR Management Framework to maintain oversight over the CIB Markets Businesses in collaboration across the three lines of defence including Compliance, Audit and Markets Control Functions.
  • Understand and assess Key and Emerging Risks for Global Markets businesses.
  • Assess operational risks and control environments through quantitative and qualitative means in line with the CCOR Framework and work with first line of defence to remediate any deficiencies.
  • Collaborate with the Testing Centre of Excellence to test the effectiveness of controls.
  • Bring a focus upon internal process re-engineering, with a view to making recommendations and enhancements to existing Risk processes where opportunities arise.
  • Stay abreast of industry news and regulatory developments to facilitate proactive risk identification and mitigation.

Required qualifications, capabilities, and skills

  • Bachelor’s Degree with relevant experience in Markets, Operations, Risk or Compliance.
  • Strategic thinker with strong analytical and project management skills with successful track record of completion.
  • Ability to multi-task, prioritize and communicate clearly and concisely in a fast-paced and evolving environment.

Preferred qualifications, capabilities, and skills

  • Experience with risk management, controls management, products and operations trade flow processes and lifecycles, regulatory reporting or technology for one or more CIB Markets businesses (i.e. Rates, Commodities, Currencies & Emerging Markets, Fixed Income Financing, Credit, Equities).
  • Experience or knowledge of operational risks relating to digital assets including blockchain-enabled payments, tokenized deposits, stablecoins, and related digital asset infrastructure.
  • Adaptability to learn and understand internal systems (including E-Trading systems), technology architecture and components, processes, sub-processes, risks and controls.

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Posted: May 9th, 2026