LONDON, LONDON, United Kingdom
7 hours ago
Global Structuring - Interest Rates and FX Structuring - Analyst or Associate

Join J.P. Morgan's Global Corporate Macro Structuring team as an Analyst or Associate, supporting Senior Structurers in originating and closing complex flow transactions.

Are you ready to advance your career in the dynamic world of interest rate and foreign exchange derivatives?

As an Interest Rates and FX Structuring Analyst for JPMorgan’s Global Corporate Macro Structuring team, your primary responsibility will be to support Senior Structurers in originating and closing complex flow transactions. This role encompasses responsibilities in both rates and foreign exchange (FX), providing comprehensive coverage and solutions across the platform. You will collaborate with the Corporate Derivative Marketing team to deliver tailored solutions to the firm’s corporate clients.

Job Responsibilities:

Support Senior Structurers in the origination, ongoing coverage, and execution of interest rate, foreign exchange, and other hedging transactions. Prepare customized pitch-books and various market analyses for client meetings. Assist with client updates, internal and external calls related to both new and existing hedging transactions. Run complex models to assist with pricing metrics and quantifying market and credit risks. Identify, present, and execute interest rate and FX hedging solutions for the firm’s corporate clients. Partner with banking, trading, credit, structuring, and other internal partners in executing hedging strategies.

Required Qualifications, Capabilities, and Skills:

A strong interest in global financial markets is essential, as are analytical and quantitative skills, flexibility, teamwork, excellent attention to detail, and the ability to handle pressure and enjoy a collaborative environment. Excellent analytical, quantitative, and interpretative skills. Ability to thrive in a dynamic, collaborative work environment. Being adaptable, flexible, and resilient. Skilled at managing multiple tasks concurrently and highly organized. Proficiency with Microsoft Excel, PowerPoint, and Word applications. Knowledge of Python and VBA is strongly preferred. Firm understanding and experience in basic finance and/or economics. A high degree of ethics and integrity.

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.  

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