Citi's Counterparty Exposure – Hedge Fund Risk Solutions group, located on the Trading Floor, structures umbrella trading-programs for clients, optimizing risk versus profitability. The group aims to increase Citi’s fee-based revenue and market-making execution by utilizing risk-based solutions across asset classes, thereby increasing Citi’s profitability while managing the firm’s risk during market volatility and stress. Key responsibilities include risk analysis, risk identification, exposure monitoring, and stress testing. The individual will interact with clients and internal stakeholders to provide customized solutions for portfolio optimization from revenue, risk, and funding perspectives. This role requires a strong background in risk, finance, and knowledge of derivatives products, along with the ability to articulate complex ideas to management and clients.
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Job Type
Full-time
Career Level
Senior