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Interest Rate Risk Analyst

JPMorgan Chase Funding
Full Timemid
INPosted April 21, 2026

Job Description

Role Overview:

You will be part of a team dedicated to managing and mitigating interest rate risk across the firm's portfolio. You will analyze interest rate sensitivities, develop hedging strategies, and monitor market movements.

Key Responsibilities:

  • Analyze interest rate risk exposures across various portfolios.
  • Develop and implement hedging strategies to mitigate risk.
  • Monitor market interest rates and economic indicators.
  • Prepare reports on interest rate risk and hedging activities.
  • Collaborate with other teams to ensure effective risk management.

Qualification Required:

  • Master's degree in Finance, Economics, or a related field.
  • Strong understanding of interest rate risk management principles.
  • Proficiency in financial modeling and valuation techniques.
  • Experience with financial market data and analytics.
  • Excellent analytical and communication skills.

Additional Details:

The company offers a competitive salary and benefits package, opportunities for career growth and development, exposure to sophisticated financial modeling and analytics, a collaborative and intellectually stimulating environment, as well as health insurance and retirement plan benefits.

A Day in the Life:

A typical day might involve analyzing market data, building financial models, developing hedging strategies, and preparing reports. Role Overview:

You will be part of a team dedicated to managing and mitigating interest rate risk across the firm's portfolio. You will analyze interest rate sensitivities, develop hedging strategies, and monitor market movements.

Key Responsibilities:

  • Analyze interest rate risk exposures across various portfolios.
  • Develop and implement hedging strategies to mitigate risk.
  • Monitor market interest rates and economic indicators.
  • Prepare reports on interest rate risk and hedging activities.
  • Collaborate with other teams to ensure effective risk management.

Qualification Required:

  • Master's degree in Finance, Economics, or a related field.
  • Strong understanding of interest rate risk management principles.
  • Proficiency in financial modeling and valuation techniques.
  • Experience with financial market data and analytics.
  • Excellent analytical and communication skills.

Additional Details:

The company offers a competitive salary and benefits package, opportunities for career growth and development, exposure to sophisticated financial modeling and analytics, a collaborative and intellectually stimulating environment, as well as health insurance and retirement plan benefits.

A Day in the Life:

A typical day might involve analyzing market data, building financial models, developing hedging strategies, and preparing reports.

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