Full-Time

Market Risk Senior Analyst

Confirmed live in the last 24 hours

Citigroup

Citigroup

10,001+ employees

Global financial services and banking solutions

Fintech
Financial Services

Compensation Overview

$160kAnnually

+ Incentive Awards + Retention Awards

Senior

New York, NY, USA

Category
Risk Management
Finance & Banking
Required Skills
Python
SQL
Data Analysis
Requirements
  • Bachelor’s degree, or foreign equivalent, in Mathematics, Statistics, Computer Science, or a related field, and three (3) years of experience in the job offered or in a related occupation.
  • Must possess three (3) years of experience with all of the following: Analyzing the price moves of different asset classes within the financial market; Identifying the risk drivers of different market trading products; Experience in hands-on data analysis on large sets of PnL, risk, Time Series data; Utilizing Python programming to build automation tools; Using SQL programming to query the data from various databases and clouds; Identifying daily changes in data such as risk sensitivities, Value at Risk, Stress, and Risk Weighted Assets across Markets business; Developing data analytics tools by working with Technology, Quants and business to optimize risk management process.
Responsibilities
  • Develop data tools across capital and in-business risk (IBR) to drive front office initiatives.
  • Act as a subject matter expert within the trading eco-system which includes Front office, Middle Office, Market Risk, Counterparty Risk, P&L and Capital.
  • Analyze data and explain Value-at-Risk, Stress testing and Risk-Weighted Assets/TCE for Markets.
  • Work with Markets transformation teams to ensure delivery of critical deliverables that impact IBR framework.
  • Responsible for key market risk identification process within Global Markets’ trading inventory with consideration of key market themes and environments through data analysis.
  • Track performances of products within Global Markets and analyze notable trends to form relative value and forward-looking view of risks and capital/Risk-Weighted Assets.
  • Responsible for risk appetite, limit, and capital framework to allow effective-optimization and allocation of risk and capital usage.
  • Build front to back holistic understanding of risk and its implications on all attributions of capital.
  • Support head of In-Business-Risk and business heads to analyze their return on capital and risk appetite ratio.
  • Manage risk limit usage and capital/ Risk-Weighted Assets usage towards limits/ targets established.
  • Assess risk and capital monitoring, control, and governance process within the business, assist with occasional regulatory questions and requirements.
  • Work with Technology / Markets Quantitative Analytics teams to develop risk and capital monitoring framework.

Citigroup provides a variety of financial services to individuals, businesses, and governments around the world. Its offerings include consumer banking, credit, corporate and investment banking, securities brokerage, and wealth management. The company operates in over 160 countries, allowing it to facilitate cross-border transactions and serve a diverse clientele. Citigroup's products work by leveraging its extensive global network and technology to provide efficient banking solutions, generating revenue through interest on loans, service fees, trading, and investment management. What sets Citigroup apart from its competitors is its strong focus on sustainability and social responsibility, demonstrated through its investments in environmental, social, and governance (ESG) initiatives. The company's goal is to create a positive financial and social impact while achieving growth and profitability.

Company Stage

IPO

Total Funding

$59.8M

Headquarters

New York City, New York

Founded

1812

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Simplify's Take

What believers are saying

  • Citi's investment in Pylon enhances access to institutional-grade mortgage products.
  • The rise of DeFi platforms offers Citi opportunities for innovative financial products.
  • Increased focus on digital banking can enhance Citi's customer experience and efficiency.

What critics are saying

  • Increased competition from fintechs like Capitolis may erode Citi's market share.
  • Investment in Pylon exposes Citi to mortgage market volatility risks.
  • Large debt funding deals increase Citi's exposure to credit risk in the SME sector.

What makes Citigroup unique

  • Citi operates in over 160 countries, offering a vast global financial network.
  • The company integrates technological innovations to deliver seamless banking solutions.
  • Citi's commitment to ESG initiatives sets it apart in sustainable finance.

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