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Wholesale Credit Portfolio Manager - SVP - New York

Job Req ID 21282915 Primary Location New York, New York Job Category Risk Management
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The Portfolio Management Group (“PMG”) is a specialized risk portfolio group that seeks to apply portfolio management techniques on a macro basis for the $819 billion Banking Book portfolio and Citi’s $1.6 trillion Wholesale portfolio, which represents significant credit risk for Citi globally. PMG, which reports into the ICG Chief Credit Officer, is concentrating on a number of key initiatives to enhance Citi’s risk management discipline including portfolio limit frameworks, risk mitigation (hedging strategies), portfolio optimization and strategic initiatives. The PMG team addresses a variety of strategic risk issues across the global ICG and Citi credit portfolio and the unique opportunity to gain a strong understanding of a diverse set of risk management techniques.  The group offers a lean structure with the potential for career progression, significant senior management exposure and works closely with many partners throughout the organization globally including all areas of Risk and Business.


  • Manage, develop and enhance portfolio concentration frameworks across Citi’s Wholesale portfolio
  • Analyze the wholesale portfolio to identify trends and analysis for Senior Management
  • Identify and manage concentration and correlation risks across Citi
  • Work on specific limit framework initiatives that may arise
  • Financial and market analysis including analyzing industry data, facts and trends and staying up to date on relevant issues within the capital markets
  • Analytical responsibilities include risk assessment, trend analysis and macro industry analysis  
  • Participate in multi-functional teams or projects that originate, structure and implement strategic frameworks in the bank that enhance risk management processes, expedite problem recognition and improve capital efficiency across the Banking Book Portfolio


  • Undergraduate or Graduate degree
  • Minimum of 8 years in experience
  • Strong analytical and quantitative capabilities
  • Familiar with manipulating databases to efficiently extract/evaluate appropriate information
  • Skilled at independently researching topics using all means available to discover relevant information
  • Strong computer skills (excel, word, powerpoint)
  • Self -starter with a curious mind and a team-player mentality
  • Ability to work in a demanding and fast-paced environment, exhibiting a high degree of flexibility and ability to multi-task, seeking guidance where necessary
  • Strong inter-personal skills, confidence to interact with senior internal management and a wide range of internal departments
  • Self-starter with the ability to maintain momentum and multi-task is paramount, seeking guidance where necessary


  • Bachelor's degree/University degree or equivalent experience
  • Master's degree preferred


Job Family Group:

Risk Management


Job Family:

Credit & Portfolio Risk Management


Time Type:

Full time


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