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Citi Group Market Risk Officer 
United States, New York, New York 
694348609

22.04.2025

Requirements: Bachelor’s degree, or foreign equivalent, in Financial Engineering, Finance, Mathematics, or a related field, and six (6) years of experience in the job offered, or in a related occupation in the financial services industry. Six (6) years of experience, or four (4) years in the alternative with a Master’s degree, must include: Working on Regulatory Risk management requirements which comprises of stress testing and capital adequacy processes including FRTB, legal entity ICAAPs, CCAR, Risk Appetite Programme, and SA-CVA; Working on specific projects with multiple stakeholders including BSST & GSST reviews, Limit reviews, Dynamic hedging program & reviews, VaR monitoring & reviews; Building and enhancing existing risk models features including VAR engine, Scenario Analysis tools, Barra factors models and collaborating with the Tech department to put code into production cycle; Automating data processing tools in Python and VBA to improve working efficiency and quality; and Designing, presenting, and launching data visualization dashboard (Qlik View) for portfolios. In the alternative, employer will accept Master’s degree, or foreign equivalent, in an above stated field of study, and four (4) years of experience in the job offered or in a related occupation. 40 hrs./wk. Applicants submit resumes at . Please reference Job ID #25849942. EO Employer.

Wage Range: $182,300.00 to $188,100.00

Full timeNew York New York United States


Anticipated Posting Close Date:

Jun 06, 2025

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