Strong understanding of secured financing structures
Ability to assess wrong-way risk and market volatility
The role serves as a core first-line risk function responsible for independent credit risk assessment and governance across global institutional businesses
Job Summary
The role serves as a core first-line risk function responsible for independent credit risk assessment and governance across global institutional businesses.
Candidates will execute collateral review activities, validate eligibility based on legal enforceability, and monitor margin sufficiency against exposure guidelines.
Citi offers competitive benefits including medical coverage, 401(k) matching, and paid time off packages alongside the base salary range.
Matching Summary
The role serves as a core first-line risk function responsible for independent credit risk assessment and governance across global institutional businesses.
Salary
Base: $109,120.00 - $163,680.00; Bonus/Equity: Discretionary and formulaic incentive awards available; Benefits: Medical, dental, vision, 401(k), life insurance, wellness programs
Skills & Requirements
Must-have
5-8 years experience in collateral or credit risk
Strong understanding of secured financing structures
Ability to assess wrong-way risk and market volatility
Nice-to-have
Experience with Uncleared Margin Rules regulations
Proficiency in SQL and Tableau data tools
CFA or FRM certification preferred
Key Requirements
Bachelor's degree in Finance, Economics, or Mathematics
5-8 years in institutional risk functions
Familiarity with OCC and FRB regulatory expectations