9 Results Found
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Multiple Locations
SVP, Non-trading Market Risk (hybrid)
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New York, New York, United States
SVP, Senior Market Risk Manager - C14 (Hybrid)
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New York, New York, United States
SVP, Market Risk - G10 Rates North America Non-Linear Trading (Hybrid)
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New York, New York, United States
Market Risk Senior Officer, VP (Hybrid)
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London, United Kingdom, United Kingdom
Market Risk Senior Officer, Global Foreign Exchange
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New York, New York, United States
Market Risk Officer - C13 - NEW YORK
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New York, New York, United States
Head of NAM G10 Rates Market Risk, Director (Hybrid)
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London, United Kingdom, United Kingdom
Global Finance Market Risk Manager - Senior Vice President (Hybrid)
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Kowloon, Hong Kong SAR, Hong Kong SAR
AVP, Market Risk Analyst
Welcome to Citi Risk Management
For Citi, effective risk management is essential to its overall operations. Accordingly, Citi’s risk management process has
been designed to monitor, evaluate and manage the principal risks it assumes in conducting its activities to ensure that
they’re consistent with Citi’s mission and risk appetite.
Risk Management is comprised of various segments that work together in proactive management of existing, emerging
and future risks by establishing the policies and guidelines for assessment and management, and by ensuring the
appropriate controls are in place to manage, measure and actively mitigate risks taken by the firm.
In addition to the frontline Consumer and Institutional businesses, Global Risk Management supports functions across
the entire firm: Finance, Internal Audit, International Franchise Management, Operations & Technology and Compliance.
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