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Resolution Wind Down Analysis- Vice President

JP Morgan Chase

Finance Jobs

Resolution Wind Down Analysis- Vice President

full-timePosted: Nov 26, 2025

Job Description

Resolution Wind Down Analysis- Vice President

Location: LONDON, LONDON, United Kingdom

Job Family: Treasury

About the Role

At JP Morgan Chase, we are at the forefront of financial services innovation, and our Treasury division plays a pivotal role in safeguarding the firm's stability and growth. As a Resolution Wind Down Analysis Vice President based in London, you will lead strategic initiatives to plan and execute the orderly wind-down of trading and derivatives activities during potential resolution scenarios. This role is critical to ensuring JP Morgan Chase's compliance with global regulatory requirements and enhancing overall firm resiliency. You will work closely with senior executives, regulatory bodies, and internal teams to develop robust frameworks that minimize systemic risk and protect stakeholder interests in the dynamic financial services landscape. Your primary focus will be on designing and simulating wind-down strategies for complex portfolios, including derivatives, equities, and fixed income trading books. This involves conducting in-depth scenario analyses, stress testing liquidity positions, and optimizing collateral management to facilitate rapid and controlled asset dispositions. You will drive cross-divisional collaboration, integrating insights from Risk, Finance, and Operations to align wind-down plans with JP Morgan Chase's broader recovery and resolution program. By leveraging advanced financial modeling and regulatory expertise, you will contribute to the firm's Living Will documentation and prepare for interactions with key regulators such as the Prudential Regulation Authority (PRA) and the Financial Conduct Authority (FCA). This position offers a unique opportunity to influence JP Morgan Chase's approach to crisis management and regulatory preparedness in one of the world's leading financial hubs. You will mentor junior analysts, foster a culture of innovation in resolution planning, and stay ahead of evolving standards like those from the Financial Stability Board (FSB). Joining our team means being part of a prestigious institution committed to excellence, where your strategic contributions directly support the firm's mission to enable economic growth while maintaining the highest standards of risk management and compliance.

Key Responsibilities

  • Lead the development and execution of strategic wind-down plans for JP Morgan Chase's trading and derivatives portfolios, ensuring alignment with regulatory expectations
  • Collaborate with cross-functional teams across Treasury, Risk, Legal, and Operations to enhance firmwide resiliency and recovery strategies
  • Conduct comprehensive scenario analysis and stress testing to assess the impact of resolution triggers on liquidity, capital, and operational continuity
  • Drive regulatory readiness by preparing documentation, reports, and simulations for authorities such as the Bank of England, FCA, and European Central Bank
  • Identify and mitigate risks associated with derivatives unwind processes, including valuation adjustments, collateral mobilization, and counterparty exposures
  • Advise senior leadership on policy enhancements and best practices for orderly resolution, contributing to JP Morgan Chase's Living Will submissions
  • Monitor emerging regulatory changes and industry trends to proactively update wind-down frameworks
  • Facilitate training and awareness programs for stakeholders on resolution planning and its implications for trading activities
  • Oversee the integration of technology and data analytics tools to support efficient wind-down simulations and reporting

Required Qualifications

  • Bachelor's degree in Finance, Economics, Business Administration, or a related field; advanced degree (MBA or Master's) preferred
  • Minimum of 8-10 years of experience in financial services, with a focus on risk management, regulatory compliance, or resolution planning in banking or trading environments
  • Deep knowledge of global regulatory frameworks including Dodd-Frank Act, Single Resolution Mechanism (SRM), and Basel III requirements for bank resolution and wind-down strategies
  • Proven track record in leading cross-functional teams on complex financial projects, particularly in derivatives and trading operations
  • Strong analytical skills with experience in financial modeling, stress testing, and scenario analysis for liquidity and capital adequacy
  • Familiarity with JP Morgan Chase's internal policies and the broader financial services industry's resiliency standards
  • Ability to obtain necessary regulatory approvals and work in a highly confidential environment

Preferred Qualifications

  • Experience in resolution planning at a Global Systemically Important Bank (G-SIB) like JP Morgan Chase
  • Certification in risk management (e.g., FRM) or regulatory compliance
  • Prior involvement in firmwide recovery and resolution planning exercises or live regulatory submissions
  • Knowledge of European banking regulations and experience working in London-based financial institutions
  • Background in derivatives valuation, collateral management, and trading desk operations

Required Skills

  • Expertise in financial modeling and quantitative analysis
  • Proficiency in regulatory reporting and compliance standards
  • Strong project management and leadership abilities
  • Advanced knowledge of derivatives products and trading mechanics
  • Excellent communication and stakeholder engagement skills
  • Analytical thinking for complex problem-solving
  • Risk assessment and mitigation techniques
  • Data analytics and visualization tools (e.g., Excel, Python, SQL)
  • Understanding of liquidity management and capital planning
  • Cross-cultural collaboration in a global team environment
  • Attention to detail in high-stakes financial scenarios
  • Strategic planning and foresight
  • Technical writing for policy and report documentation
  • Adaptability to evolving regulatory landscapes

Benefits

  • Competitive base salary and performance-based annual bonus
  • Comprehensive health, dental, and vision insurance coverage
  • Retirement savings plan with generous company matching contributions
  • Paid time off including vacation, sick leave, and parental leave
  • Professional development opportunities through JP Morgan's internal training programs and tuition reimbursement
  • Employee stock purchase plan and other financial wellness benefits
  • Wellness programs including gym memberships and mental health support
  • Relocation assistance for international moves to London

JP Morgan Chase is an equal opportunity employer.

Locations

  • LONDON, GB

Salary

Estimated Salary Rangehigh confidence

200,000 - 350,000 USD / yearly

Source: ai estimated

* This is an estimated range based on market data and may vary based on experience and qualifications.

Skills Required

  • Expertise in financial modeling and quantitative analysisintermediate
  • Proficiency in regulatory reporting and compliance standardsintermediate
  • Strong project management and leadership abilitiesintermediate
  • Advanced knowledge of derivatives products and trading mechanicsintermediate
  • Excellent communication and stakeholder engagement skillsintermediate
  • Analytical thinking for complex problem-solvingintermediate
  • Risk assessment and mitigation techniquesintermediate
  • Data analytics and visualization tools (e.g., Excel, Python, SQL)intermediate
  • Understanding of liquidity management and capital planningintermediate
  • Cross-cultural collaboration in a global team environmentintermediate
  • Attention to detail in high-stakes financial scenariosintermediate
  • Strategic planning and foresightintermediate
  • Technical writing for policy and report documentationintermediate
  • Adaptability to evolving regulatory landscapesintermediate

Required Qualifications

  • Bachelor's degree in Finance, Economics, Business Administration, or a related field; advanced degree (MBA or Master's) preferred (experience)
  • Minimum of 8-10 years of experience in financial services, with a focus on risk management, regulatory compliance, or resolution planning in banking or trading environments (experience)
  • Deep knowledge of global regulatory frameworks including Dodd-Frank Act, Single Resolution Mechanism (SRM), and Basel III requirements for bank resolution and wind-down strategies (experience)
  • Proven track record in leading cross-functional teams on complex financial projects, particularly in derivatives and trading operations (experience)
  • Strong analytical skills with experience in financial modeling, stress testing, and scenario analysis for liquidity and capital adequacy (experience)
  • Familiarity with JP Morgan Chase's internal policies and the broader financial services industry's resiliency standards (experience)
  • Ability to obtain necessary regulatory approvals and work in a highly confidential environment (experience)

Preferred Qualifications

  • Experience in resolution planning at a Global Systemically Important Bank (G-SIB) like JP Morgan Chase (experience)
  • Certification in risk management (e.g., FRM) or regulatory compliance (experience)
  • Prior involvement in firmwide recovery and resolution planning exercises or live regulatory submissions (experience)
  • Knowledge of European banking regulations and experience working in London-based financial institutions (experience)
  • Background in derivatives valuation, collateral management, and trading desk operations (experience)

Responsibilities

  • Lead the development and execution of strategic wind-down plans for JP Morgan Chase's trading and derivatives portfolios, ensuring alignment with regulatory expectations
  • Collaborate with cross-functional teams across Treasury, Risk, Legal, and Operations to enhance firmwide resiliency and recovery strategies
  • Conduct comprehensive scenario analysis and stress testing to assess the impact of resolution triggers on liquidity, capital, and operational continuity
  • Drive regulatory readiness by preparing documentation, reports, and simulations for authorities such as the Bank of England, FCA, and European Central Bank
  • Identify and mitigate risks associated with derivatives unwind processes, including valuation adjustments, collateral mobilization, and counterparty exposures
  • Advise senior leadership on policy enhancements and best practices for orderly resolution, contributing to JP Morgan Chase's Living Will submissions
  • Monitor emerging regulatory changes and industry trends to proactively update wind-down frameworks
  • Facilitate training and awareness programs for stakeholders on resolution planning and its implications for trading activities
  • Oversee the integration of technology and data analytics tools to support efficient wind-down simulations and reporting

Benefits

  • general: Competitive base salary and performance-based annual bonus
  • general: Comprehensive health, dental, and vision insurance coverage
  • general: Retirement savings plan with generous company matching contributions
  • general: Paid time off including vacation, sick leave, and parental leave
  • general: Professional development opportunities through JP Morgan's internal training programs and tuition reimbursement
  • general: Employee stock purchase plan and other financial wellness benefits
  • general: Wellness programs including gym memberships and mental health support
  • general: Relocation assistance for international moves to London

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JP Morgan Chase logo

Resolution Wind Down Analysis- Vice President

JP Morgan Chase

Finance Jobs

Resolution Wind Down Analysis- Vice President

full-timePosted: Nov 26, 2025

Job Description

Resolution Wind Down Analysis- Vice President

Location: LONDON, LONDON, United Kingdom

Job Family: Treasury

About the Role

At JP Morgan Chase, we are at the forefront of financial services innovation, and our Treasury division plays a pivotal role in safeguarding the firm's stability and growth. As a Resolution Wind Down Analysis Vice President based in London, you will lead strategic initiatives to plan and execute the orderly wind-down of trading and derivatives activities during potential resolution scenarios. This role is critical to ensuring JP Morgan Chase's compliance with global regulatory requirements and enhancing overall firm resiliency. You will work closely with senior executives, regulatory bodies, and internal teams to develop robust frameworks that minimize systemic risk and protect stakeholder interests in the dynamic financial services landscape. Your primary focus will be on designing and simulating wind-down strategies for complex portfolios, including derivatives, equities, and fixed income trading books. This involves conducting in-depth scenario analyses, stress testing liquidity positions, and optimizing collateral management to facilitate rapid and controlled asset dispositions. You will drive cross-divisional collaboration, integrating insights from Risk, Finance, and Operations to align wind-down plans with JP Morgan Chase's broader recovery and resolution program. By leveraging advanced financial modeling and regulatory expertise, you will contribute to the firm's Living Will documentation and prepare for interactions with key regulators such as the Prudential Regulation Authority (PRA) and the Financial Conduct Authority (FCA). This position offers a unique opportunity to influence JP Morgan Chase's approach to crisis management and regulatory preparedness in one of the world's leading financial hubs. You will mentor junior analysts, foster a culture of innovation in resolution planning, and stay ahead of evolving standards like those from the Financial Stability Board (FSB). Joining our team means being part of a prestigious institution committed to excellence, where your strategic contributions directly support the firm's mission to enable economic growth while maintaining the highest standards of risk management and compliance.

Key Responsibilities

  • Lead the development and execution of strategic wind-down plans for JP Morgan Chase's trading and derivatives portfolios, ensuring alignment with regulatory expectations
  • Collaborate with cross-functional teams across Treasury, Risk, Legal, and Operations to enhance firmwide resiliency and recovery strategies
  • Conduct comprehensive scenario analysis and stress testing to assess the impact of resolution triggers on liquidity, capital, and operational continuity
  • Drive regulatory readiness by preparing documentation, reports, and simulations for authorities such as the Bank of England, FCA, and European Central Bank
  • Identify and mitigate risks associated with derivatives unwind processes, including valuation adjustments, collateral mobilization, and counterparty exposures
  • Advise senior leadership on policy enhancements and best practices for orderly resolution, contributing to JP Morgan Chase's Living Will submissions
  • Monitor emerging regulatory changes and industry trends to proactively update wind-down frameworks
  • Facilitate training and awareness programs for stakeholders on resolution planning and its implications for trading activities
  • Oversee the integration of technology and data analytics tools to support efficient wind-down simulations and reporting

Required Qualifications

  • Bachelor's degree in Finance, Economics, Business Administration, or a related field; advanced degree (MBA or Master's) preferred
  • Minimum of 8-10 years of experience in financial services, with a focus on risk management, regulatory compliance, or resolution planning in banking or trading environments
  • Deep knowledge of global regulatory frameworks including Dodd-Frank Act, Single Resolution Mechanism (SRM), and Basel III requirements for bank resolution and wind-down strategies
  • Proven track record in leading cross-functional teams on complex financial projects, particularly in derivatives and trading operations
  • Strong analytical skills with experience in financial modeling, stress testing, and scenario analysis for liquidity and capital adequacy
  • Familiarity with JP Morgan Chase's internal policies and the broader financial services industry's resiliency standards
  • Ability to obtain necessary regulatory approvals and work in a highly confidential environment

Preferred Qualifications

  • Experience in resolution planning at a Global Systemically Important Bank (G-SIB) like JP Morgan Chase
  • Certification in risk management (e.g., FRM) or regulatory compliance
  • Prior involvement in firmwide recovery and resolution planning exercises or live regulatory submissions
  • Knowledge of European banking regulations and experience working in London-based financial institutions
  • Background in derivatives valuation, collateral management, and trading desk operations

Required Skills

  • Expertise in financial modeling and quantitative analysis
  • Proficiency in regulatory reporting and compliance standards
  • Strong project management and leadership abilities
  • Advanced knowledge of derivatives products and trading mechanics
  • Excellent communication and stakeholder engagement skills
  • Analytical thinking for complex problem-solving
  • Risk assessment and mitigation techniques
  • Data analytics and visualization tools (e.g., Excel, Python, SQL)
  • Understanding of liquidity management and capital planning
  • Cross-cultural collaboration in a global team environment
  • Attention to detail in high-stakes financial scenarios
  • Strategic planning and foresight
  • Technical writing for policy and report documentation
  • Adaptability to evolving regulatory landscapes

Benefits

  • Competitive base salary and performance-based annual bonus
  • Comprehensive health, dental, and vision insurance coverage
  • Retirement savings plan with generous company matching contributions
  • Paid time off including vacation, sick leave, and parental leave
  • Professional development opportunities through JP Morgan's internal training programs and tuition reimbursement
  • Employee stock purchase plan and other financial wellness benefits
  • Wellness programs including gym memberships and mental health support
  • Relocation assistance for international moves to London

JP Morgan Chase is an equal opportunity employer.

Locations

  • LONDON, GB

Salary

Estimated Salary Rangehigh confidence

200,000 - 350,000 USD / yearly

Source: ai estimated

* This is an estimated range based on market data and may vary based on experience and qualifications.

Skills Required

  • Expertise in financial modeling and quantitative analysisintermediate
  • Proficiency in regulatory reporting and compliance standardsintermediate
  • Strong project management and leadership abilitiesintermediate
  • Advanced knowledge of derivatives products and trading mechanicsintermediate
  • Excellent communication and stakeholder engagement skillsintermediate
  • Analytical thinking for complex problem-solvingintermediate
  • Risk assessment and mitigation techniquesintermediate
  • Data analytics and visualization tools (e.g., Excel, Python, SQL)intermediate
  • Understanding of liquidity management and capital planningintermediate
  • Cross-cultural collaboration in a global team environmentintermediate
  • Attention to detail in high-stakes financial scenariosintermediate
  • Strategic planning and foresightintermediate
  • Technical writing for policy and report documentationintermediate
  • Adaptability to evolving regulatory landscapesintermediate

Required Qualifications

  • Bachelor's degree in Finance, Economics, Business Administration, or a related field; advanced degree (MBA or Master's) preferred (experience)
  • Minimum of 8-10 years of experience in financial services, with a focus on risk management, regulatory compliance, or resolution planning in banking or trading environments (experience)
  • Deep knowledge of global regulatory frameworks including Dodd-Frank Act, Single Resolution Mechanism (SRM), and Basel III requirements for bank resolution and wind-down strategies (experience)
  • Proven track record in leading cross-functional teams on complex financial projects, particularly in derivatives and trading operations (experience)
  • Strong analytical skills with experience in financial modeling, stress testing, and scenario analysis for liquidity and capital adequacy (experience)
  • Familiarity with JP Morgan Chase's internal policies and the broader financial services industry's resiliency standards (experience)
  • Ability to obtain necessary regulatory approvals and work in a highly confidential environment (experience)

Preferred Qualifications

  • Experience in resolution planning at a Global Systemically Important Bank (G-SIB) like JP Morgan Chase (experience)
  • Certification in risk management (e.g., FRM) or regulatory compliance (experience)
  • Prior involvement in firmwide recovery and resolution planning exercises or live regulatory submissions (experience)
  • Knowledge of European banking regulations and experience working in London-based financial institutions (experience)
  • Background in derivatives valuation, collateral management, and trading desk operations (experience)

Responsibilities

  • Lead the development and execution of strategic wind-down plans for JP Morgan Chase's trading and derivatives portfolios, ensuring alignment with regulatory expectations
  • Collaborate with cross-functional teams across Treasury, Risk, Legal, and Operations to enhance firmwide resiliency and recovery strategies
  • Conduct comprehensive scenario analysis and stress testing to assess the impact of resolution triggers on liquidity, capital, and operational continuity
  • Drive regulatory readiness by preparing documentation, reports, and simulations for authorities such as the Bank of England, FCA, and European Central Bank
  • Identify and mitigate risks associated with derivatives unwind processes, including valuation adjustments, collateral mobilization, and counterparty exposures
  • Advise senior leadership on policy enhancements and best practices for orderly resolution, contributing to JP Morgan Chase's Living Will submissions
  • Monitor emerging regulatory changes and industry trends to proactively update wind-down frameworks
  • Facilitate training and awareness programs for stakeholders on resolution planning and its implications for trading activities
  • Oversee the integration of technology and data analytics tools to support efficient wind-down simulations and reporting

Benefits

  • general: Competitive base salary and performance-based annual bonus
  • general: Comprehensive health, dental, and vision insurance coverage
  • general: Retirement savings plan with generous company matching contributions
  • general: Paid time off including vacation, sick leave, and parental leave
  • general: Professional development opportunities through JP Morgan's internal training programs and tuition reimbursement
  • general: Employee stock purchase plan and other financial wellness benefits
  • general: Wellness programs including gym memberships and mental health support
  • general: Relocation assistance for international moves to London

Target Your Resume for "Resolution Wind Down Analysis- Vice President" , JP Morgan Chase

Get personalized recommendations to optimize your resume specifically for Resolution Wind Down Analysis- Vice President. Takes only 15 seconds!

AI-powered keyword optimization
Skills matching & gap analysis
Experience alignment suggestions

Check Your ATS Score for "Resolution Wind Down Analysis- Vice President" , JP Morgan Chase

Find out how well your resume matches this job's requirements. Get comprehensive analysis including ATS compatibility, keyword matching, skill gaps, and personalized recommendations.

ATS compatibility check
Keyword optimization analysis
Skill matching & gap identification
Format & readability score

Tags & Categories

TreasuryFinancial ServicesBankingJP MorganTreasury

Answer 10 quick questions to check your fit for Resolution Wind Down Analysis- Vice President @ JP Morgan Chase.

Quiz Challenge
10 Questions
~2 Minutes
Instant Score

Related Books and Jobs

No related jobs found at the moment.