Rodeo
ResourcesPartnersSign in

JPMorgan Chase & Co.

Asset Management - Alternatives Investment Risk Analyst/ Associate

City of London
Posted about 11 hours ago
Sign up to applySee more jobs like this

How your CV stacks up

1Upload CV
2Analyse CV
3Improve CV

Upload your CV to see how well it fits this job role

?%

Bring your expertise to JPMorgan Chase. As part of Risk Management and Compliance, you are at the center of keeping JPMorgan Chase strong and resilient. You help the firm grow its business in a responsible way by anticipating new and emerging risks, and using your expert judgement to solve real-world challenges that impact our company, customers and communities. Our culture in Risk Management and Compliance is all about thinking outside the box, challenging the status quo and striving to be best-in-class.

As an Asset Management - Alternatives Investment Risk Analyst/ Associate in Asset Management Risk team, you will support the AM Investment Risk Team in managing investment risks across our Europe Real Estate portfolios within the Alternatives Business, with a primary focus on monitoring portfolios and highlighting emerging risks. This position combines rigorous analysis with collaborative teamwork to support sound risk management practices. You will support proactive management of investment, liquidity, and counterparty risk based on ongoing, informed, and educated market observations with a focus on Europe Real Estate within the Alternatives business. Working closely with investment teams and control functions, you will help develop and maintain understanding of risk profiles of funds and portfolios and contribute to the enhancement of risk oversight processes as the platform evolves.

This role provides the opportunity to work on a global Alternatives platform where you will collaborate with experienced professionals and contribute to risk management practices in a growing business. We are looking for a professional who combines strong analytical capabilities with intellectual curiosity and an interest in real estate investment risk.

Job Responsibilities

  • Measure, monitor, and independently assess risks in Europe Real Estate investment activities; escalate issues and concerns to senior management
  • Monitor stress, performance, liquidity, and counterparty risk metrics against thresholds and perform deep-dive risk analysis on outliers
  • Collaborate with investment, in-business, and independent risk teams to develop and maintain understanding of risk profiles of Europe Real Estate funds and portfolios
  • Support improvements to transparency and infrastructure for capturing and reporting risk exposures
  • Identify and highlight emerging risks across Europe Real Estate portfolios, assessing potential impact to the business
  • Look for innovation opportunities in risk oversight processes, policies, and procedures for Investment, Liquidity and Counterparty Risk, ensuring compliance is maintained

Reasons to use Rodeo

I’m in my final year doing Economics and I don’t know whether to apply for grad schemes now or do a masters first. What do you think?

Honest answer — it depends on where you want to end up. A lot of top grad schemes (Big 4, civil service, banking) don’t need a masters. Let’s look at the ones you’d be competitive for now, and we can decide if a masters actually adds anything.

Also worth knowing: most autumn 2026 applications are open now. Timing matters more than you think.

Start with a chat, not a search bar

Grad scheme, placement, apprenticeship? Not sure what you want yet — that's fine. Your agent talks it through with you and turns "I have no idea" into a shortlist.

P

Graduate Consultant — 2026 Scheme

PwC·London, UK
£35,000/yr

Why you're a good match

Strong

Your economics background and your summer at a regional bank line up with what PwC looks for on the consulting scheme. Applications close in four weeks.

See breakdown
Save jobNot relevant
View details

It searches the market for you

Every day your agent scans the market matching roles against what actually matters to you, not just keywords on a CV.

Why you're a good match

You’ve got the grades and the economics background, and your bank internship is exactly the experience this scheme looks for. Apply soon — deadlines close within the month.

See breakdown
Strong

Experience fit

Your summer at the bank plus your econometrics coursework map directly to the day-one responsibilities on this scheme — client modelling, market briefings, and deal support.

See breakdown
Strong

Only hits

No noise. No "maybe this fits." Just roles with a clear explanation of why they're right — and where to focus when applying.

Required Qualifications, Capabilities, and Skills

  • Bachelor's degree required
  • Experience in financial services industry related to trading, portfolio management, risk management, and/or investment risk across asset classes
  • Excellent analytical and problem-solving skills; inquisitive nature and comfortable in challenging current practices
  • Strong quantitative skills with curiosity and ability to pursue analysis and deep dive risk reviews independently
  • Prior experience with coding and data visualization tools such as Python, SQL & Tableau
  • Solid communication and interpersonal skills for effective business interaction

Preferred Qualifications, Capabilities, and Skills

  • Post-graduate degree or additional certifications such as CFA or CAIA
  • Buy-side and alternatives experience strongly preferred
  • Familiarity with modeling and working knowledge of portfolio valuations and risk systems
  • Familiarity with market risk methodologies, including, stress testing, and sensitivities
  • Experience in alternatives risk, particularly within Europe real estate markets and regional risk dynamics

Get help with your application

Your very own career expert that helps elevate your application to the next level.

Get help applying for this job

J.P. Morgan is a global leader in financial services, providing strategic advice and products to the world’s most prominent corporations, governments, wealthy individuals and institutional investors. Our first-class business in a first-class way approach to serving clients drives everything we do. We strive to build trusted, long-term partnerships to help our clients achieve their business objectives.

We recognize that our people are our strength and the diverse talents they bring to our global workforce are directly linked to our success. We are an equal opportunity employer and place a high value on diversity and inclusion at our company. We do not discriminate on the basis of any protected attribute, including race, religion, color, national origin, gender, sexual orientation, gender identity, gender expression, age, marital or veteran status, pregnancy or disability, or any other basis protected under applicable law. We also make reasonable accommodations for applicants’ and employees’ religious practices and beliefs, as well as mental health or physical disability needs. Visit our FAQs for more information about requesting an accommodation.

J.P. Morgan Asset & Wealth Management delivers industry-leading investment management and private banking solutions. Asset Management provides individuals, advisors and institutions with strategies and expertise that span the full spectrum of asset classes through our global network of investment professionals. Wealth Management helps individuals, families and foundations take a more intentional approach to their wealth or finances to better define, focus and realize their goals.

Trusted by 25,000+ job seekers

“It took my CV and asked me questions relevant to understanding what kind of jobs to suggest for me. Suggestions were almost perfect. Jobs were exactly what I’ve been looking for.”

Jessica, London

Get help applying for this job

Skills

Risk Management
Portfolio Monitoring
Quantitative Analysis
Python
SQL
Tableau
Real Estate Investment
Liquidity Risk
Counterparty Risk
Stress Testing
Financial Modeling
Data Visualization

Location

City of London, England, United Kingdom

Sign up to applySee more jobs like this