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Are you interested in a role that will require you to use your product expertise to help conceptualise and use innovative thought process to design and create a product vision? You will be expected to proactively follow market, industry, and client trends in your field of expertise, and adapt these for application on Citi’s products and solutions platforms.
Your role will be to develop a deep understanding of margin methodology and margin call process across global CCPs and broker relationship, creating strategy and owning transformation of assets, including investments into money market funds and outright purchases of bonds and repos.
What you will do will be varied day to day, but the key drivers for the role are:
Understanding client profitability and driving client interest pricing framework, implementing new initiatives around expansion of client collateral eligibility and optimisation of client assets.
Driving all aspects of interest income and associated costs including a detailed understanding of balance sheet, RWA, Capital, Globally Systemically Important Banks (GSIB), and minimising working capital costs.
Building and maintaining relationships with key business stakeholders including central clearing counterparties, banks, and various investment sales teams and desks.
Partnering with product, technology, and regulatory teams to improve current monitoring and analytical tools for liquidity management. Driving automation while ensuring regulatory perfection and compliance with segregation requirements across jurisdictions globally (commodity Futures Trading Commission (CFTC), Client Assets Sourcebook (CASS) etc.).
Participating in FIA industry working groups to cover new regulations and topical industry discussions. Interface with regulatory and business specific treasury-based enquiries.
What we will need from you:
You will have a good understanding of Global Markets, including markets regulations related to futures and cleared OTC, investment limitations and operational settlement procedures.
You will have specific experience in Treasury or Liquidity Management and collateral optimization as well as prior experience in Portfolio Management and trading experience in Fixed Income products.
Expert analytical and technical skills with ability to use SQL, Python, and data management tools such as Power BI & Tableau.
Degree in finance/Economic/Math's or related area. Master’s degree and/or Certified Treasury Professional or Chartered Financial Analyst would be advantageous to your application.
This role will appeal to the analytical, conceptual thinker who is a strong communicator and is able to build and leverage cross-functional relationships. It will be of interest to a self-starter with the ability to drive automation and simplify processes, with a constant willingness to learn, and absorb and synthesize new information and concepts. Superior time management and multi-tasking skills to juggle live transactions, daily tasks, and manage multiple projects are a necessity.
What we will provide you:
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:
27 days annual leave (plus bank holidays)
A discretional annual performance related bonus
Private Medical Care & Life Insurance
Employee Assistance Program
Pension Plan
Paid Parental Leave
Special discounts for employees, family, and friends
Access to an array of learning and development resources
This job description provides a high-level review of the types of work performed. Other job-related duties may be assigned as required.
Product Management and DevelopmentProduct Management
Time Type:
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