Citi’s Global Markets Equities division is seeking an experienced, quantitatively adept In-Business Market Risk manager. The Equities In-Business Market Risk team functions as the First Line of Defense (1LoD) accountable for proactively identifying, measuring, managing, and mitigating market risks, while ensuring the optimal allocation and efficiency of market risk regulatory capital across the global Equities franchise. This role provides comprehensive risk oversight across core business lines—including Equity Derivatives, Cash Equities and Prime Services. A central mandate of this position is driving Front Office readiness, analytics, and strategic optimization for the Fundamental Review of the Trading Book (FRTB) under both the Standardized Approach (SA) and Internal Models Approach (IMA). The successful candidate will act as a trusted advisor and independent first-line challenger to desk heads and senior trading managements balancing commercial risk-taking with firm-wide risk appetite, capital constraints, and regulatory standards.
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Job Type
Full-time
Career Level
Manager