Capital Markets Sr Platform Manager, Stati Uniti-NY-New York City
Capital Markets Sr Platform Manager
Azienda:
JPMorgan
Sede:
Stati Uniti-NY-New York City
Retribuzione:
Competitve
Tipo di contratto:
A tempo indeterminato
Tipo di impiego:
Full time
Aggiornato al:
11 Mar 2010
No. di rif. eFC:
590016
Please see the job description
090060902
Qualifications Capital Markets Sr Platform Manager Level : Senior Vice President The Private Banking Credit Product and Platform team is responsible for the development and implementation of the end to end credit operating model, and definition and build out of the strategic credit infrastructure in support of all segments of the Credit business.
The Senior Project Manager for the Capital Markets Risk Monitoring Agenda will lead and manage a multiyear, multi-million dollar agenda aimed at enhancing the overall Risk Monitoring capabilities for our Capital Markets Credit exposures. This individual will partner closely with the Private Banking Capital Markets Credit Risk Management team to understand current state deficiencies in our risk monitoring practices and capabilities, define a future state strategy, set priorities and deliver new capabilities. The individual will manage a team of VP's, Associates and analysts and partner closely with various technology teams to scope deliveries, establish delivery timelines and manage overall implementation. Additionally, this individual will partner with the investments product and platform team to ensure appropriate integration of capabilities and processes with our global investments business. Project Management Responsibilities: In this position, you will be required to define and influence both operating model and system strategy, articulate detailed requirements and manage implementation and successful deployment of capabilities to business users. Individual will need a strong command of credit risk management processes and capabilities as well as an understanding of various credit products with specific expertise in the broad set of capital markets products. Individual will need to understand current state global differences in the Private Banking practices around risk management of derivatives exposures and develop a game plan and strategy for convergence onto a single core set of processes and capabilities.
Some key responsibilities will include:Define and set the overall strategy and objectives for delivery of Capital Markets credit product risk management capabilities. Partner with the business to understand current state deficiencies, define future state requirements and agree priorities. Define detailed business requirements for new and enhanced capabilities and partner closely with technology team(s) to establish the timeline and manage the overall deliveries. Lead/Manage all platform deliveries and upgrades including User Testing, rollout strategy, communications and training to business users and all impacted stakeholders and constituentsDefine approach for seamlessly delivering solutions from multiple technology teams to the user community.Understand current state differences in risk management practices across the various segments of the business and drive toward convergence globally. Where differences remain provide business justification for continued divergence.