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Citi Group MD Head Alternatives ICM Underwriting 
United Kingdom, England, London 
362526618

25.06.2024

Key Responsibilities:

  • Leading and managing a global HF, PE and IFO team
  • Role demands excellence in analysis, underwriting, monitoring, and drives global consistency across regions
  • Leading due diligence efforts and managing counterparty credit risk to a global portfolio of HFs, PE and highly institutionalized family office clients
  • Provide oversight and challenge for the business covering full range of products
  • Negotiation of credit structures and documentation, including ISDA’s, Derivatives Clearing, FCM. Prime Brokerage and Repo documents
  • Review and approve client reviews, credit facilities, specific transactions, and exceptions within delegated credit authority
  • Collaborating with 2LOD colleagues to develop credit underwriting standards and policies for extending credit to institutional family offices
  • Setting a global culture which demands excellence in analysis, underwriting, monitoring, and drives global consistency across regions
  • Strong knowledge of derivatives and structured lending
  • Facilitate relationships with key clients and internal partnerships

Qualifications:

  • 15+ years of experience in financial services and risk management required
  • Significant risk/risk-related counterparty credit work experience in banking/financial institutions with expertise in hedge funds, private equity, family office and alternative investment counterparties
  • Experience in people management

Client Relationships / Business Partnership:

  • Navigates organizational complexity and breaks silos
  • Creates and sustains a network of strong partnerships with the business in all segments & geographies and other risk functions
  • Proven track record of partnering with global peers in leveraging and implementation of best practices

Knowledge, skills and experience required:

  • Provides well-reasoned, balanced assessments of risk/return trade-offs associated with transactions and client relationships
  • Proficiency in flow and complex financing and product structures
  • Ability to provide strategic insights and strong sensitivity to macro and regulatory issues, and impact of such issues on the various Risk families, including operational and franchise risks
  • Proven ability to effectively engage with regulators and internal control functions including
  • Internal Audit and Fundamental Credit Risk as well as with external audit
  • Demonstrates strong ethics and integrity
  • Strong leadership. Dynamic, flexible, and with strong communication skills
  • Ability to see the ‘big picture’ in a complex environment
  • Can make decisions under pressure and short timeline
  • Excellent verbal & written communication skills. Active listening skills.
  • Demonstrated influencing and negotiating ability, resolve conflicts amongst various constituencies
  • Excellent presentation skills – adept at presenting effectively to audiences of various sizes and various constituencies

Education:

  • Bachelor's degree/University degree or equivalent experience
  • Master's degree preferred
Risk ManagementCredit & Portfolio Risk Management


Time Type:

Full time

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