Non-trading Market Risk Senior Officer, Svp (hybrid)

Workforcity

Mumbai, India
Hybrid
Independent market risk oversight
Interest rate risk in banking book
Market risk management of treasury investments
Citi’s Risk Management organization oversees risk-taking activities and assesses risks independently of the front line units to ensure consistent identification, measurement, monitoring, control and reporting of material aggregate risks

Job Summary

  • Citi’s Risk Management organization oversees risk-taking activities and assesses risks independently of the front line units to ensure consistent identification, measurement, monitoring, control and reporting of material aggregate risks.
  • The Senior Vice President, Non-Trading Market Risk Management provides an independent second line role including review and challenge of first line activities and coordinates development of risk frameworks, policies and procedures.
  • Citi offers extensive on-the-job training, exposure to senior leaders, programs for physical and mental well-being, paid parental leave, and resources to support employee growth and community volunteering.

Matching Summary

Citi’s Risk Management organization oversees risk-taking activities and assesses risks independently of the front line units to ensure consistent identification, measurement, monitoring, control and reporting of material aggregate risks.

Skills & Requirements

Must-have

  • Independent market risk oversight
  • Interest rate risk in banking book
  • Market risk management of Treasury Investments
  • Risk identification and assessment
  • Regulatory compliance and governance
  • Quantitative and technical skills

Nice-to-have

  • Strong written and verbal communication skills
  • Goal driven and team oriented
  • Attention to detail
  • Global teamwork experience
  • Financial well-being management
  • Volunteerism and community engagement

Key Requirements

  • Bachelor’s degree in economics, finance or quantitative field
  • Master’s or higher degree preferred
  • Experience in Risk Management, Treasury or Capital Markets
  • Experience in market risk management preferred
  • Strong analytical knowledge of capital markets products

Work Rights

Not specified

Tailored Resume

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