NextRaiseNextRaiseFind jobs
Sign inSign up free
Jobs / Portfolio Manager in United Kingdom
19 days ago
Apply with autofill
Apply with autofill
JPMorgan Chase·BFSI·19 days ago
19 days ago

Credit Portfolio Group – XVA Pricing & Capital Solutions EMEA - Associate

London, United KingdomFull-timeEntry · 0-2 yearsPortfolio Manager

Sign up free to see how well your resume matches this role.

Boost your chances at JPMorgan Chase

How you compare FREE

?
Your scoreYour score: not yet known
→
32
Top 10%Top 10%: 32 out of 100

Top 10% of NextRaise users matched against Portfolio Manager roles in United Kingdom.

Must-have skills for this role

  • otc derivatives
  • xva
  • python
  • excel

PDF or DOCX · no account needed

Apply faster with autofill FREEThe NextRaise extension autofills your application in one click.careers.example.com/applyAutofillingFull namePriya SharmaEmailpriya.sharma@example.comPhone+49 30 1234567LocationBerlGet the extension

About this role

As an Associate in XVA Pricing & Capital Solutions within the Credit Portfolio Group, you will support derivative pricing and capital analysis, strengthening partnerships across Sales, Trading, and control functions. You will contribute to trade-level analytics, risk monitoring, and stress/scenario work, delivering consistent, well-documented solutions. In this role, you will build your derivatives and XVA expertise, work closely with cross-functional teams, and help drive meaningful outcomes for the firm and our clients.

Job responsibilities

  • Support pricing and structuring analysis for OTC derivatives with hedge funds, focusing on efficient risk and capital usage.
  • Produce and maintain trade-level margin analytics, analyze initial margin drivers, and assist with collateral mechanics under ISDA/CSA agreements.
  • Monitor risk appetite by translating limits and triggers into routine checks, running diagnostics, escalating issues, and supporting remediation activities.
  • Run stress and scenario analyses across portfolios and counterparties, summarizing outputs for review.
  • Support deal execution processes, prepare materials for risk and valuation discussions, and ensure clean handoffs to risk management and reporting teams.
  • Partner with Quantitative Research and technology to test and implement model and tooling enhancements for exposure and margin analytics.
  • Assist with documentation and collateral workflows, compiling analysis to support ISDA/CSA discussions for margin and capital efficiency.

Required qualifications, capabilities, and skills

  • Working knowledge of OTC derivatives and an interest in XVA, counterparty credit exposure, funding, and margin concepts.
  • Familiarity with ISDA/CSA collateral mechanics and a willingness to learn margin optimization approaches for hedge fund counterparties.
  • Strong quantitative and analytical skills, including advanced Excel and Python proficiency (or ability to build it quickly) for analytics and automation.
  • Ability to run structured analyses, document assumptions clearly, and communicate results succinctly.
  • Strong collaboration and communication skills; comfortable working across Sales, Trading, Risk, and Operations in a fast-paced environment.
  • Relevant experience in derivatives, XVA, counterparty credit or market risk, product control or valuation, quantitative analytics, or a related role.

Preferred qualifications, capabilities, and skills

  • Prior EMEA coverage and front-office partnership experience.
  • Ability to articulate technical concepts to non-specialists and drive collaborative solutions.
  • Ownership mentality and adaptability in fast-paced environments.
  • Demonstrated curiosity, ownership of deliverables, and comfort improving processes such as templates, checks, and automation.

This role encompasses the performance of UK regulated activity. The successful candidate will therefore be subject to meeting UK regulatory requirements in the assessment of fitness, propriety, knowledge and competence (as assessed by the Firm) and (where appropriate) approval by the UK Financial Conduct Authority and/or the Prudential Regulation Authority to carry out such activities.  

BFSI

Company

JPMorgan ChaseBFSI
London, United Kingdom

Company facts come from this company's own listings. We only show what the postings themselves carry.

Sourced from JPMorgan Chase's careers site·first seen 1 Sept 2026·last verified 8 Sept 2026·How we source jobs

Similar jobs

  • Assistant Portfolio Manager at igCity of London, United Kingdom–match not yet calculated
  • Portfolio Engineer at Deutsche BankLondon, United Kingdom–match not yet calculated
  • Analyst, ICCM Fund at Royal Bank of CanadaLondon, United Kingdom–match not yet calculated
  • Senior Portfolio Manager | Sterling Credit | SAM UK | London at santanderLondon, United Kingdom–match not yet calculated
  • Asset and Wealth Management, CIO Multi-Asset Portfolio Manager, Associate/Senior Associate, London at JPMorgan ChaseLondon, United Kingdom–match not yet calculated

Browse more jobs

  • Portfolio Manager jobs in United Kingdom
  • Asset Manager jobs in United Kingdom
  • Wealth Manager jobs in United Kingdom
  • Trader jobs in United Kingdom
  • Portfolio Manager jobs in United States
  • Portfolio Manager jobs in Germany