Global Commodities Credit Risk Associate - Job Opportunity at JPMorgan Chase

Paris, France
Full-time
Mid-level
Posted: June 9, 2025
On-site
EUR 85,000 - 120,000 annually plus substantial performance bonuses, reflecting JPMorgan Chase's premium compensation structure for specialized risk management roles in major European financial centers, with total compensation potentially reaching EUR 150,000+ including bonuses and benefits

Benefits

Comprehensive career development through specialized commodities credit risk training and mentoring opportunities that position professionals at the forefront of financial risk management
Access to JPMorgan Chase's global network and resources, providing unparalleled exposure to international markets and cross-functional collaboration opportunities
Professional growth through direct engagement with senior management presentations and strategic decision-making processes
Competitive compensation package typical of top-tier investment banking institutions, including performance-based bonuses and comprehensive healthcare benefits
Educational advancement support and continuing professional development programs to maintain cutting-edge expertise in evolving financial markets

Key Responsibilities

Lead comprehensive credit risk assessments for complex structured commodities transactions, directly impacting JPMorgan Chase's global risk exposure and profitability in volatile commodity markets
Drive strategic structuring recommendations that protect firm interests while enabling business growth, requiring sophisticated analytical judgment that influences multi-million dollar trading decisions
Negotiate critical credit terms in master trading agreements, wielding significant influence over contractual frameworks that govern long-term business relationships with major counterparties
Orchestrate comprehensive documentation processes for trading operations, ensuring regulatory compliance and legal protection across international jurisdictions
Provide specialized credit expertise to support colleagues across global business lines, enhancing organizational capabilities and risk management standards
Champion new business initiatives and change management projects that shape the future direction of JPMorgan Chase's commodities trading strategy
Deliver high-impact risk presentations to senior management, directly informing executive-level strategic decisions and portfolio management approaches
Execute sophisticated financial analysis and ongoing due diligence for major counterparty relationships, maintaining portfolio quality and identifying emerging risks
Implement proactive risk management strategies for deteriorating credits, protecting firm assets and maintaining client relationships during challenging market conditions
Cultivate strategic partnerships with trading, sales, and origination teams, serving as the critical bridge between risk management and revenue generation
Represent the firm in regulatory examinations and internal audits, demonstrating the integrity and effectiveness of credit risk processes to external stakeholders
Mentor and develop junior talent, building organizational capability and ensuring continuity of specialized commodities risk expertise

Requirements

Education

BA/BS degree required, MBA preferred

Experience

Professional work experience in credit/counterparty risk, commodities, and/or derivative products

Required Skills

Strong organizational skills, attention to detail, and an excellent work ethic Strong credit analysis and financial modeling skills Experience working with and negotiating master trading agreements typical of the energy trading industry Exceptional analytical aptitude and ability to think abstractly Strong data analysis and presentation skills Performs well under pressure in a demanding environment Independently productive and works well in a team environment Proficiency in Microsoft Office Suite, especially Excel, PowerPoint, and Word Understanding of or experience in covering a variety of energy and commodity trading companies Experience in data analysis and visualization, using programming languages like Python Understanding of front office processes and ability to balance necessities of credit risk management with commercial requirements
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Sauge AI Market Intelligence

Industry Trends

The global commodities trading landscape is experiencing unprecedented volatility driven by geopolitical tensions, climate change impacts, and energy transition dynamics, creating heightened demand for sophisticated risk management professionals who can navigate complex market conditions and regulatory environments while maintaining profitability. Financial institutions are increasingly investing in advanced analytics and technology-driven risk management solutions, particularly in commodities markets where traditional models are being challenged by renewable energy integration, supply chain disruptions, and evolving ESG requirements that reshape trading strategies and risk assessment methodologies. Post-pandemic supply chain resilience has become a critical focus for commodities trading firms, driving demand for risk professionals who understand both traditional credit analysis and emerging risks related to operational disruptions, counterparty reliability, and market structure changes in global commodity flows.

Role Significance

Typically part of a 15-25 person global commodities risk team with direct reporting relationships to 2-3 junior analysts and regular collaboration with 50+ professionals across trading, legal, and operations functions
This mid-to-senior level position carries significant responsibility for managing multi-million dollar risk exposures and directly influences JPMorgan Chase's strategic commodities trading decisions, with the role holder serving as a key decision-maker in credit approval processes and risk strategy development

Key Projects

Leading due diligence for major acquisition financing in renewable energy infrastructure projects Developing new risk frameworks for emerging commodity sectors including carbon credits and green hydrogen trading Managing portfolio risk assessments during market stress events such as geopolitical conflicts or extreme weather events Implementing new regulatory compliance frameworks for European commodities trading regulations

Success Factors

Developing deep expertise in both traditional commodity markets and emerging energy transition sectors, as the industry rapidly evolves toward renewable energy trading and carbon market mechanisms that require sophisticated understanding of new risk factors and valuation methodologies. Building strong cross-functional relationships with trading desks, legal teams, and senior management to effectively balance commercial objectives with prudent risk management, requiring exceptional communication skills and the ability to translate complex risk concepts into actionable business insights. Maintaining rigorous analytical standards while adapting to rapidly changing market conditions and regulatory requirements, demonstrating the intellectual agility to continuously update risk models and assessment frameworks in response to evolving market dynamics. Cultivating expertise in advanced data analytics and technology tools that are becoming essential for modern commodities risk management, including Python programming, machine learning applications, and real-time market data analysis capabilities.

Market Demand

High demand driven by increased regulatory scrutiny in commodities trading, growing complexity of structured products, and the critical need for specialized risk management expertise in volatile global commodity markets

Important Skills

Critical Skills

Advanced financial modeling and credit analysis capabilities are absolutely essential as the role requires sophisticated assessment of complex structured products and counterparty risks that can involve hundreds of millions of dollars in exposure, with modeling errors potentially resulting in significant financial losses and regulatory scrutiny. Deep understanding of commodity market dynamics and trading mechanisms is crucial because the role demands real-time assessment of how market volatility, supply disruptions, and price movements affect counterparty creditworthiness and transaction risk profiles in ways that traditional credit analysis cannot capture. Exceptional analytical and abstract thinking abilities are vital for success because commodities risk management often involves assessing scenarios with limited historical precedent, requiring professionals to synthesize diverse information sources and develop innovative risk assessment approaches. Strong negotiation and communication skills are critical as the role involves high-stakes discussions with sophisticated counterparties, internal stakeholders, and senior management where the ability to clearly articulate complex risk concepts and defend analytical conclusions directly impacts business outcomes.

Beneficial Skills

Python programming and advanced data analytics capabilities are increasingly valuable as the commodities trading industry adopts machine learning and automated risk monitoring systems that require professionals who can both understand and implement sophisticated analytical tools. Understanding of ESG factors and sustainable finance principles is becoming essential as regulatory requirements and client demands drive the integration of environmental and social considerations into traditional credit and risk assessment frameworks. Cross-cultural communication and international business experience provide significant advantages in JPMorgan Chase's global operating environment where successful risk management requires understanding diverse regulatory frameworks, business practices, and market structures across multiple jurisdictions.

Unique Aspects

This role offers rare exposure to JPMorgan Chase's proprietary risk management methodologies and global market intelligence that provides competitive advantages unavailable at smaller institutions, including access to cutting-edge analytics platforms and comprehensive market data that enhance decision-making capabilities.
The position provides exceptional opportunity to work on landmark transactions and market-moving deals that shape global commodity markets, offering professional experiences and learning opportunities that are virtually impossible to replicate at smaller firms or regional institutions.
The role combines traditional credit analysis with emerging areas such as ESG risk assessment, carbon trading, and renewable energy financing, positioning the professional at the forefront of the industry's evolution toward sustainable finance and energy transition.
Working within JPMorgan Chase's integrated platform allows for unique cross-selling opportunities and comprehensive client relationship management that spans multiple business lines, providing broader business perspective and enhanced career development opportunities.

Career Growth

Progression to VP level typically occurs within 3-5 years for high performers, with MD opportunities available within 7-10 years for exceptional candidates who demonstrate strong leadership and risk management capabilities

Potential Next Roles

Vice President - Global Commodities Risk Management with expanded portfolio responsibility and team leadership duties Managing Director - Commodities Trading Risk with P&L responsibility and strategic oversight of entire commodities risk function Head of Credit Risk for specialized sectors such as renewable energy or emerging markets commodities Senior risk management roles at commodity trading houses, hedge funds, or energy companies seeking JPMorgan Chase expertise

Company Overview

JPMorgan Chase

JPMorgan Chase stands as the largest bank in the United States and one of the most systemically important financial institutions globally, with over $3.7 trillion in assets and operations spanning more than 100 countries, positioning it as a dominant force in global commodities trading and risk management.

The firm maintains a top-tier position in global commodities trading and financing, consistently ranking among the top 3 banks in energy and metals trading revenues, with particular strength in structured commodity products and cross-border transaction capabilities that few competitors can match.
JPMorgan Chase's Paris office serves as a critical European hub for commodities trading and risk management, supporting the bank's extensive operations across EMEA markets and providing strategic access to European energy markets, regulatory frameworks, and client relationships.
The organization maintains a high-performance culture that emphasizes intellectual rigor, collaborative problem-solving, and continuous learning, with substantial investment in employee development and a strong emphasis on risk management excellence that permeates all business activities.
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