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Citi Group Director Market Risk Group Manager - Hybrid 
China, Hong Kong 
918153414

06.05.2025

Shape your Career with Citi

We’re currently looking for a high caliber professional to join our team as- Hybrid (Internal Job Title: Market Risk Sr Group Manager -C15) based in Hong Kong.Being part of our team means that we’ll provide you with the resources to meet your unique needs, empower you to make healthy decision and manage your financial well-being to help plan for your future. For instance:

  • We empower our employees to manage their financial well-being and help them plan for the future.

  • Citi provides access to an array of learning and development resources to help broaden and deepen your skills and knowledge as your career progresses.

  • We have a variety of programs that help employees balance their work and life, including generous paid time off packages.

In this role, you’re expected to:

  • Responsible for management of market risk across various portfolios

  • Identify, monitor and analyze risks in the market specific portfolios

  • Identify, examine and preserve major drivers of risk and returns, analyze trends and explain changes.

  • Analyze standard loss measures, risk return metrics, and the risk appetite framework.

  • Review scenario analysis to assess potential financial impact to Citi.

  • Economic and regulatory risk capital concepts and analyze major drivers

  • Participate in the methodology setting for VaR and review inputs/outputs of VaR as well as P&L back testing

  • Consider limit exception requests, model validation requests, and permitted product requests.

  • Consider market risk approval for new model validations and well as existing model revalidations.

  • Monitor financial markets and understand its implications to market risk exposure.

  • Develop tools for on-going portfolio reviews and produce “deep dive” analysis for senior management.

  • Produce presentations (regular and ad-hoc) for senior management and regulators.

  • Monitor financial markets and understand its implications for the firm.

  • Review scenario analysis to assess potential financial impact to Citi.

  • Economic and regulatory risk capital concepts and analyze major drivers

  • Work collaboratively with Citi business/functional line management, risk and finance groups

  • Represent Citi on critical regulatory matters as required. Serves as liaison with regulatory examiners, Internal Audit, and external auditors on critical Risk issues and oversees the implementation of related remediation.

  • Manage a team or multiple teams of Risk professionals. Responsible for hiring, compensation, performance appraisals, staff development, training, etc.

  • Appropriately assess risk when business decisions are made, demonstrating particular consideration for the firm's reputation and safeguarding Citigroup, its clients and assets, by driving compliance with applicable laws, rules and regulations, adhering to Policy, applying sound ethical judgment regarding personal behavior, conduct and business practices, and escalating, managing and reporting control issues with transparency, as well as effectively supervise the activity of others and create accountability with those who fail to maintain these standards.

As a successful candidate, you’d ideally have the following skills and exposure:

  • An extensive years of relevant experience

  • Subject Matter Expert in financial instruments, risk metrics and Market Risk Management

  • Expert analytical, technical and quantitative skills

  • Expert knowledge of treasury, market risk and liquidity management and knowledge of secured financing, securitization, and derivative products

  • Excellent written and verbal communication skills

  • Must be a self-starter, flexible, innovative and adaptive

  • Highly motivated, attention to detail, team oriented, organized

  • Developed presentation skills with the ability to articulate complex problems and solutions through concise and clear messaging

  • Ability to interact and communicate effectively with senior leaders

  • Demonstrated ability to assess complex issues through root cause analysis and other analytical techniques; structure potential solutions; drive to resolution with senior stakeholders

  • Ability to influence and lead people across cultures at a senior level using sound judgment and successful execution, understanding how to operate effectively across diverse businesses

  • Comfort navigating complex, highly-matrixed organizations

  • Excellent project management and organizational skills and capability to handle multiple projects at one time

  • Proficient in MS Office applications (Excel/VBA, Word, PowerPoint) and SQL

  • Programming/modeling experience

  • CFA or Financial Risk Management (FRM)

  • Bachelor’s/University degree, Master’s degree preferred and managerial experience

Risk ManagementMarket Risk


Time Type:

Full time

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