Citi seeks a Vice President for Non-Trading Market Risk Management focusing on Interest Rate Risk and Treasury Investments. This full time role emphasizes independent risk oversight and strong analytical skills.
In this essential second-line position, you will manage and challenge market risk assessments and strategies, contributing to the development of frameworks to evaluate impacts on operations. Your expertise in capital markets and risk management will be crucial in ensuring compliance with regulatory requirements and enhancing governance controls across the organization.
Key Responsibilities:
• Ensure independent market risk oversight for Treasury Investments • Review IRRBB risk identification performed by first line units • Challenge proposals on entity limits and pricing strategies • Monitor significant movements in reported IRRBB exposures • Coordinate the development of Non-Trading Market Risk frameworks
Requirements: • 5-10 years of experience in Risk Management • Strong knowledge of capital markets products • Bachelor's degree in economics or finance • Excellent analytical and quantitative skills • Proficient with AI tools for risk management
Utilize your analytical skills and market knowledge to contribute to Citi's robust risk management framework. #J-18808-Ljbffr
📌 Vice President Non-Trading Market Risk at Citi (Winnipeg)
🏢 Citi
📍 Winnipeg
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