In-business Risk Manager, Senior Vice President

Work From Home With CiCi

Experience in managing market risk
Strong analytical competency
Proficient in ms excel
The role focuses on managing market risk across various asset classes in Citi’s Global Markets division

Job Summary

  • The role focuses on managing market risk across various asset classes in Citi’s Global Markets division.
  • Candidates will proactively identify and quantify key market risks and communicate findings with trading businesses.
  • The position requires collaboration with independent risk teams to monitor and manage risk limit utilizations.

Matching Summary

The role focuses on managing market risk across various asset classes in Citi’s Global Markets division.

Skills & Requirements

Must-have

  • Experience in managing market risk
  • Strong analytical competency
  • Proficient in MS Excel

Nice-to-have

  • Interest in geopolitics and financial markets
  • Programming skills in SQL and Python
  • Strong interpersonal skills

Key Requirements

  • Bachelor’s or master’s degree
  • Experience in Trading/Structuring/Research
  • Deep subject matter expertise on asset classes

Work Rights

Not specified

Tailored Resume

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