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Commercial Bank Risk - Credit Risk Senior Analyst - Irvine, CA or Pasadena, CA

Job Description

J.P. Morgan is a leading global financial services firm with assets of $2.1 trillion and operations in more than 60 countries. The firm is a leader in investment banking, financial services for consumers, small business and commercial banking, financial transaction processing, asset management and private equity. Information about J.P. Morgan is available at http://www.jpmorganchase.com/.

 

The Portfolio Analyst is expected to be fully proficient with commercial real estate finance concepts/principles and their application to various property types.  Incumbents must be able to complete annual reviews on complex properties and borrowers to derive appropriate risk ratings and evaluate expected future performance.  Analysts will be expected to review annual property operating statements and rent roll/lease summary of properties secured by Chase commercial real estate loans, and then compare the results of the operating analysis to local market conditions and underwriting in order to determine the overall performance of the property within the market and to identify any potential risk of default.  Analysts will also be expected to analyze Borrower and Guarantor personal financial statements to derive net worth and liquidity, and determine appropriate property, entity and guarantor risk ratings.  Analysts are expected to document and support all concluded risk ratings.  The Portfolio Analyst will interact with Borrowers, Credit Executives, and other parties, both internal and external to Chase, to obtain applicable data to perform a complete analysis.  Portfolio Analysts are also responsible for review and approval of other analyst’s work.

 

The successful candidate for a Portfolio Analyst position will be expected to perform well in a fast-paced and dynamic environment.  In addition to achieving and maintaining individual benchmarks for both quality and quantity, a Portfolio Analyst is also expected to excel in teamwork, including training of incoming analysts and acting as a liason for current analysts.  Portfolio Analyst should be particularly proficient in Excel and have strong reporting skills. 

Bachelor's Degree in Finance, Real Estate, General Business or Accounting or equivalent work experience
*  Minimum of 2 years of commercial real estate credit experience

*   Excellent verbal and written communication skills

*   Strong analytical and problem-solving skills

*   Knowledge of loan documents

*   Knowledge of current real estate market trends

*   Proficiency in Microsoft desktop tools including Word, Excel, Access, Power Point.

Req #: 160012018
Location: Pasadena, CA US
Job Category: Accounting/Finance/Audit/Risk
Employment Type: Full Time
Potential Referral Amount: US Dollar (USD)

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