London Jobs |
Manchester Jobs |
Liverpool Jobs |
Nottingham Jobs |
Birmingham Jobs |
Cambridge Jobs |
Glasgow Jobs |
Bristol Jobs |
Wales Jobs |
London Jobs |
Manchester Jobs |
Liverpool Jobs |
Nottingham Jobs |
Birmingham Jobs |
Cambridge Jobs |
Glasgow Jobs |
Bristol Jobs |
Wales Jobs |
Oil & Gas Jobs |
Banking Jobs |
Construction Jobs |
Top Management Jobs |
IT - Software Jobs |
Medical Healthcare Jobs |
Purchase / Logistics Jobs |
Sales |
Ajax Jobs |
Designing Jobs |
ASP .NET Jobs |
Java Jobs |
MySQL Jobs |
Sap hr Jobs |
Software Testing Jobs |
Html Jobs |
Job Location | London |
Education | Not Mentioned |
Salary | Competitive salary |
Industry | Not Mentioned |
Functional Area | Not Mentioned |
Job Type | Permanent, full-time |
Are you looking for a career move that will put you at the heart of a global financial institution Then bring your Market Risk Management, Fixed Income products, and Data Analytics skills to Citis Risk Management team. By Joining Citi, you will becomepart of a global organisation whose mission is to serve as a trusted partner to our clients by responsibly providing financial services that enable growth and economic progress. Team/Role OverviewThe Global Finance business is responsible for Firm Financing and Client Financing activity spanning the universe of fixed income securities in which Citi is a market maker. This includes securities such as G10 sovereign, supranational and agency debt; globalcorporate debt and emerging market debt; a wide variety of global asset-backed securities including MBS, consumer ABS, CLOs and CDOs. Coverage also includes Synthetic Financing products such as (Bond Forwards, TRS, Structured Financing) This role is for a Risk Manager, located in London, to oversee the market risks associated with the Global Finance business globally The successful candidate must be able to build effective relationships with front office and other groups as well as risk colleagues, challenge assumptions, be comfortable with quantitatively complex issues, willing to work at the detailed level and be a producerof high quality and insightful output. It is vital that the candidate should have and develop further a very good technical knowledge of fixed income financing products as well as market risk approaches. What youll do