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Citi Group Market Risk Manager FX Options & Prime Brokerage Senior Vice President 
United Kingdom, England, London 
242086895

09.08.2024

By Joining Citi, you will become part of a global organisation whose mission is to serve as a trusted partner to our clients by responsibly providing financial services that enable growth and economic progress.

What you’ll do

  • Work with existing team members to be accountable for the identification and evaluation of market risks generated by the Global FX business (with a focus on the Options business) and FX Prime Brokerage. Identification of ‘top risks’ and outlier stress events. Working on and performing ad-hoc scenarios.

  • Communication with trading desks.

  • Candidate must be very comfortable discussing products and their risks and building spreadsheets / other analysis tools to analyse risk and market data, portfolio risks and individual trades.

  • Working with others to ensure that the reported exposures are correct and cover the main drivers of risk and potential p/l; identification and resolution of any data issues.

  • Ensuring limits are properly set and monitored accurately. Contribute to the development or production of metrics used to satisfy regulatory requirements and stress testing processes.

  • Periodic preparation of presentation materials for senior management or for internal discussions. Ability to speak as needed on market events.

  • Review and validate assumptions in risk models used by underlying business unit(s) and analyse the impact of model changes.

  • Work closely with Financial Control, Price Verification and the Model Risk groups within the organization to ensure that the proper controls are in place.

  • Help with reviews of new business proposals including risk limits setting and monitoring and ensuring risks can be fully captured within the firm’s systems.

  • Contribute to the resolution of regulatory tasks and MRAs.

  • Help to monitor and establish controls around legal entity level risks.

What we’ll need from you

  • Relevant experience in the FX and/or Rates markets with good knowledge of the markets, products and risk.

  • Good quantitative level of experience with derivative products pricing and risk.

  • Experience with portfolio risk measurement techniques including VAR and stress testing.

  • Strong relationship management and liaison with business people of all levels while being willing and able to challenge as needed, particularly the front office.

  • Dedication to information integrity and to producing high quality and insightful output required.

  • Good presentation and communication skills both in writing and verbal.

  • Expert experience and facility with Excel including VBA and add-in functions, ideally with experience of using financial pricingfunctions.

By joining Citi London, you will not only be part of a business casual workplace with a hybrid working model (up to 2 days working at home per week), but also receive a competitive base salary (which is annually reviewed), and enjoy a whole host of additional benefits such as:

  • Generous holiday allowance starting at 27 days plus bank holidays; increasing with tenure

  • A discretional annual performance related bonus

  • Private medical insurance packages to suit your personal circumstances

  • Employee Assistance Programme

  • Pension Plan

  • Paid Parental Leave

  • Special discounts for employees, family, and friends

  • Access to an array of learning and development resources

Time Type:

Full time

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