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Citi Group Stress Testing Independent Review Challenge Lead SVP Hybrid 
United States, New York, New York 
377513559

08.04.2025

Job Description

  • Conduct annual reviews of programs forMarket risk and/or Credit risk programs, including the regulatory driven stress testing, internal stress testing, and the risk pool contribution to enterprise level stress testing programs (e.g., CCAR,GSST, RST, ICAAPs).
  • Contribute to additional review, which may be required based on changes in scenario, assumptions, or methodologies, as well as significant macroeconomic or market events
  • Conduct data analysis and support pool owners in reviewing the results.
  • Analyze and interpret reports, make recommendations addressing business needs.
  • Communicate findings to applicable stakeholders and ensure action plans are defined to remediate issues
  • Evaluate stress test results and actions (e.g. limit setting/ monitoring, risk appetite, risk identification).
  • Assist in the development of analytic engines for business product lines.
  • Communicate results to a variety of audiences.
  • Conduct analysis and package it into detailed technical documentation reports to meet regulatory guidelines and exceed industry standards.
  • Identify modeling opportunities that yield measurable business results.
  • Supervise junior team members.

Job Requirements

  • Demonstrated industry experience inmarket risk and/or credit risk management fields, including portfolio/ risk management experience in market trading, XVA, IDL, credit risk, model validation, or model analytics.
  • Experience in oversight onmarket risk or credit risk
  • Experience in relevant regulatory guidance, including the SR12-7
  • Fewer years of relevant experience will be considered for candidates with higher academic qualifications and/or certifications such as a PhD, a second master’s degree, FRM or CFA.
  • Knowledge of risk appetite, limit setting, banking book/ trading book products and risk management practices
  • Consistently demonstrates clear and concise written and verbal communication skills
  • Self-motivated and detail oriented
  • Demonstrated project management and organizational skills and capability to handle multiple projects at one time
  • Proficient in Microsoft Office (EXCEL), SAS, R, Python or other programing languages

Education:

  • Bachelor’s/University degree or equivalent experience, potentially Masters degree
Risk ManagementRisk Analytics, Modeling, and Validation

Full timeNew York New York United States$176,720.00 - $265,080.00



Anticipated Posting Close Date:

Apr 08, 2025

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