Role Overview
The Finance CRO – Risk, SVP will oversee the design, development, delivery, and maintenance of best-in-class Risk Management programs, policies, and practices. They will ensure adherence to Citi’s policies and regulatory requirements, and provide effective and credible challenge to Finance (e.g. Treasury) and Global Markets.
What You Will Do
Key responsibilities include overseeing the implementation of a regulatory-compliant and robust treasury risk framework, monitoring and reporting Treasury and Global Markets Trading risks, and ensuring compliance with Citi’s policies and procedures.
Why It Might Be a Fit
The successful candidate will maintain and develop the franchise’s framework for review, challenge, and oversight of treasury risks, with significant scope for improving processes and practices, and significant interaction with senior management and regulators.
Requirements
- Degree in Quantitative or Financial discipline
- Postgraduate degree in a quantitative or financial discipline
- Minimum 10 years of experience within risk management, treasury or support functions
- General understanding of treasury products – securities, derivatives, and a broad mix of underlying asset classes
- Knowledge of ALM, Market risk/IRRBB/liquidity models/capital adequacy and regulatory framework
Benefits
- Full-time employment
- Competitive salary and benefits package
- Opportunities for professional development and growth
- Collaborative and dynamic work environment
To apply for this job please visit citi.wd5.myworkdayjobs.com.

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