Search jobs > Tampa, FL > Banking book fx risk

AVP, Banking Book FX Risk Senior Analyst (Hybrid)

00002 Citibank, N.A.
Tampa Florida United States
Full-time

The Chief Risk Officer for Finance (Finance CRO) organization provides risk management oversight of the Global Finance function, including effective risk challenge and mitigation of risk for capital, liquidity, interest rate risk and Treasury investments, and ensures compliance with all risk-related regulatory requirements.

In addition, the team oversees the key risk management methodologies and calculations, including CECL and IFRS9 for credit reserves, and Basel Advanced RWA.

Non-Trading Market Risk (NTMR) Management group, as a part of the Finance CRO organization, is responsible for independent risk management of non-trading market risk, including Interest Rate Risk in the Banking Book as well as market risk management of Treasury Investments.

It identifies, measures, and monitors non-trading market risks and it provides independent review and challenge to the first-line activities.

Assistant Vice President in the Banking Book Risk Measurement / Quality Assurance team within NTMR is responsible for independent market risk oversight of first line, including market risk management of Treasury FX Capital hedging activities, non-trading FX risk relating to new products, concentrations in non-trading FX risk, and CCAR / QMMF Stress Testing.

The candidate must possess excellent communication and presentation skills for interactions with Treasury, Independent Risk, regulators, auditors and various senior management committees.

The candidate must be able to utilize thorough understanding of methodologies, relevant regulatory requirements, and governance control processes for independent risk management oversight of Non-Trading Market Risk activities.

Responsibilities :

  • Ensures second line independent market risk oversight of FX Capital hedging activities.
  • Ensures non-trading market risk relating to new products is considered and can be captured before approval. Reviews concentration risk and ensures concentration risk measures are appropriate for non-trading market risk.
  • Designs effective stress testing routines and ensure CCAR / QMMF and Rapid Stress Tests properly forecast non-trading market exposures.
  • Performs independent assurance of first line activities by identifying and ensuring adherence to applicable policies, standards, procedures, laws, and regulations for various first line functions.
  • Performs sensitivity analysis and designs limit framework to ensure risk within risk appetite capacity.
  • Performs process and control testing of first line activities by assessing design and operating effectiveness of the overall processes or activities and controls.
  • Monitors reported exposures, understanding the drivers of significant movements.
  • Prepares review reports for independent assurance process and communicates potential issues to Management.
  • Manages issues effectively by logging, tracking and validating issues and monitors issues through their lifecycle.
  • Applies an in-depth understanding of Internal Audit standards, policies and technology to a specific product or function.
  • Interfaces with Corporate and Markets Treasury staff on risk issues.

Qualifications :

  • Broad understanding of risk management and analytics
  • Strong analytical knowledge of capital markets products
  • Experience in market risk management, FX risk in banking book, and CCA / QMMF preferred
  • Prior experience with audit function preferred
  • Familiar with enterprise risk management activities
  • Excellent quantitative and technical skills
  • Strong written and verbal communication skills
  • Goal driven with excellent ability to work within a team globally
  • Proficient with Microsoft Office Suite (Excel, Word, and PowerPoint). Knowledge of scripting language preferred
  • Highly motivated with attention to detail

Education :

Bachelor’s degree with strong academic record in economics, mathematics, statistics, finance or other quantitative field.

Master’s or higher degree is preferred.

2+ years’ experience in Risk Management, Treasury, Capital Markets or other functions within a financial services sector, preferably for GSIBs.

Job Family Group : Risk Management

Risk Management

Job Family : Treasury Risk

Treasury Risk

Time Type : Full time

Full time

Primary Location :

New York New York United States

Primary Location Full Time Salary Range :

$109, - $163,

In addition to salary, Citi’s offerings may also include, for eligible employees, discretionary and formulaic incentive and retention awards.

Citi offers competitive employee benefits, including : medical, dental & vision coverage; 401(k); life, accident, and disability insurance;

and wellness programs. Citi also offers paid time off packages, including planned time off (vacation), unplanned time off (sick leave), and paid holidays.

For additional information regarding Citi employee benefits, please visit Available offerings may vary by jurisdiction, job level, and date of hire.

Anticipated Posting Close Date :

May 20, 2024

Citi is an equal opportunity and affirmative action employer.

Qualified applicants will receive consideration without regard to their race, color, religion, sex, sexual orientation, gender identity, national origin, disability, or status as a protected veteran.

Citigroup Inc. and its subsidiaries ("Citi ) invite all qualified interested applicants to apply for career opportunities.

If you are a person with a disability and need a reasonable accommodation to use our search tools and / or apply for a career opportunity review .

3 days ago
Related jobs
Promoted
VirtualVocations
St. Petersburg, Florida

A company is looking for an Enterprise Risk Management, Risk Governance Senior Analyst. ...

00002 Citibank, N.A.
Tampa, Florida

The AVP, Senior UAT Testing Analyst is a seasoned professional role. Involved in coaching and training of new UAT analysts. Lead status meetings with senior leadership, partner with project managers, technology and business stakeholders and drive initiatives to completion. Report risks to the UAT Te...

Promoted
VirtualVocations
Saint Petersburg, Florida

A company is looking for a Senior Risk Management Analyst. ...

00002 Citibank, N.A.
Tampa, Florida

The Risk Appetite Senior Lead Analyst is an experienced professional who closely follows latest trends in own field and adapts them for application within own job and the business. Support both the Risk Appetite & Metrics and the Risk Appetite Assessment areas in providing oversight of these process...

Citi
Tampa, Florida

We support an extensive range of Capital Markets products and services including Fixed Income (FX, Rates, Credit, Muni, Cash and Derivatives) where Citi is consistently a dominant top 3 player in the market, Equity (Cash, Derivatives, Prime Brokerage, Futures, Listed Derivs, FXPB) where Citi has a s...

00002 Citibank, N.A.
Tampa, Florida

The Senior Auditor is an intermediate level role responsible for performing complex audits and assessments of Citi’s risk and control environments in coordination with the Audit team. Monitor, assess, and recommend solutions to emerging risks. Appropriately assess risk when business decisions are ma...

Citi
Tampa, Florida

As part of the Business Execution Team supporting USPB, Wealth, and Legacy Franchise Business Aligned Data Lead, the Senior Business Analyst is responsible for the financial activities of the Data Organization and will coordinate and manage activities such as the planning, tracking, analysis, and re...

Mindlance
Tampa, Florida

Minimum - years of relevant experience in, strategic sourcing/procurement, vendor management risk management and/or regulatory compliance in one or more of the following risk disciplines: technology risk, business continuity, operational risk, supplier risk, or audit and controls. The Third Party Of...

Citi
Tampa, Florida

Sourcing - Procurement Technology Analyst, AVP - Hybrid. This is a Global Procurement – Sourcing Analyst responsible for managing and executing all Procurement and Sourcing activities relating to Technology requirements from the Business. ...

DTCC
Tampa, Florida

Being a member of the Counterparty Credit Risk team, the Counterparty Credit Risk Senior Analyst is primarily responsible for assessing the financial stability of DTCC's member firms by interpreting financial statements of banks, broker-dealers, and other financial firms. Systemic Risk is defined as...