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Business Risk Officer, Vice President

1800.00 - 2280.00

Job description

Citi Global Markets provides world-class solutions and an unmatched global presence. Citi Global Markets serve corporates, institutional investors and governments from trading floors in almost 80 countries. The strength of our underwriting, sales and trading and distribution capabilities span asset classes (Commodities, Equities, Rates, Spread Products) and currencies, providing an unmatched ability to meet the needs of our clients. The 1st Line of Defense (1LOD) Markets Controls Testing team is responsible for testing and validating the effectiveness of our risk management frameworks and controls across all markets and asset classes. This role will be part of the Markets Risk Management team within the 1LOD, reporting to the Head of Markets Risk Management. The Business Risk Officer, Vice President will be responsible for leading a team of risk professionals in identifying, assessing, and mitigating risks associated with our markets and trading activities. Key responsibilities include: • Developing and maintaining a deep understanding of the firm's markets and trading activities, including market trends, client needs, and regulatory requirements. • Collaborating with stakeholders across the organization to identify, assess, and prioritize risks associated with our markets and trading activities. • Designing and implementing risk management frameworks and controls that are effective in mitigating identified risks. • Providing risk guidance and support to business units and functions, ensuring that they have the necessary tools and resources to manage their risks effectively. • Developing and maintaining relationships with key stakeholders, including senior management, risk professionals, and other teams across the organization. • Staying up-to-date with industry trends, regulatory changes, and emerging risks, and incorporating this knowledge into our risk management frameworks and controls. The ideal candidate will have a strong background in risk management, finance, or a related field, and at least 8 years of experience in a similar role. A Bachelor's degree is required, with an advanced degree (Master's or MBA) preferred. • Strong analytical and problem-solving skills, with the ability to analyze complex data sets and identify trends. • Excellent communication and interpersonal skills, with the ability to effectively communicate risk information to both technical and non-technical stakeholders. • Ability to work in a fast-paced environment, prioritizing multiple tasks and projects simultaneously. • Strong understanding of financial markets, instruments, and regulations, including Dodd-Frank, EMIR, and other relevant regulations. • Experience with risk management frameworks and tools, such as PRISM, RiskMetrics, or similar systems. • Certification in a relevant field (e.g., CFA, FRM, CAIA) is preferred but not required. In return for your expertise and dedication, we offer: • A competitive salary and benefits package. • Opportunities to work with a global team of talented professionals. • Access to cutting-edge technology and tools. • Professional development opportunities, including training and mentorship programs. • A dynamic and supportive work environment.

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Company information

Company
Citi
Location
Singapore
Singapore
Posted
2 months ago

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