Vice President - Credit Risk 2LOD Officer - Risk

Citigroup

Tampa, Florida, United States
Base: $113,840.00 - $170,760.00; bonus/equity: dis...
Hybrid
4+ years financial services risk experience
Counterparty credit risk expertise
Capital markets product knowledge
The Vice President - Credit Risk 2LOD Officer position at Citigroup in Tampa, Florida, is a hybrid role focused on risk management within a global financial institution. The position requires expertise in counterparty credit risk, regulatory compliance, and cross-functional collaboration to enhance risk management practices

Job Summary

  • This role serves as a pivotal Second Line of Defense officer safeguarding Citigroup Global Markets Inc. against credit, market, and operational risks.
  • The position requires translating complex regulatory requirements into actionable risk management practices while leveraging AI for predictive analytics.
  • Candidates will gain broad exposure to firm-wide strategic initiatives and interact with senior leaders to shape the future of risk management.

Matching Summary

Match Score: 85

The Vice President - Credit Risk 2LOD Officer position at Citigroup in Tampa, Florida, is a hybrid role focused on risk management within a global financial institution. The position requires expertise in counterparty credit risk, regulatory compliance, and cross-functional collaboration to enhance risk management practices.

Salary

Base: $113,840.00 - $170,760.00; Bonus/Equity: Discretionary and formulaic incentive awards available; Benefits: Medical, dental, vision, 401(k), life insurance, wellness programs

Skills & Requirements

Must-have

  • 4+ years financial services risk experience
  • Counterparty credit risk expertise
  • Capital markets product knowledge
  • Advanced Excel and Tableau proficiency
  • Regulatory framework understanding

Nice-to-have

  • AI-driven risk insights capability
  • Familiarity with Citi internal systems
  • Legal entity space experience
  • Strong intellectual curiosity
  • Cross-functional collaboration skills

Key Requirements

  • Minimum 4 years in Financial Services risk management
  • Undergraduate or Master's degree in Finance, Economics, or Data Science
  • Solid understanding of capital markets products and risk metrics

Work Rights

Not specified

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