Market Risk Senior Officer I – C14 – LONDON

Company: Citigroup
Apply for the Market Risk Senior Officer I – C14 – LONDON
Location: London
Job Description:

Overview

In this role you drive market risk model governance within Citi’s Global Market Risk function, focusing on regulatory-aligned frameworks and ALW reviews. You’ll lead cross-functional collaboration to design, implement, and operate governance processes for model performance, changes, and regulatory notifications. You will tackle complex risk-model challenges in support of FRTB SA and IMA implementations and remediation efforts. The role offers impact across global teams, stakeholders, and regulators, with a clear path to shape risk governance at a top-tier financial institution. You’ll work in a dynamic, regulated environment where precise analysis, communication, and change management are关键.

Pay / Benefits

  • award winning pension
  • on-site health services
  • private medical insurance packages
  • paid parental leave
  • generous holiday allowance
  • diversity and inclusion networks

Responsibilities

  • Support multi-functional collaboration to design and implement a target state market risk model governance aligned with regulatory requirements
  • Govern model performance reviews, coverage assessments, and change management for new or altered models
  • Coordinate with Control and Internal Audit to ensure credible challenge and validation in remediation efforts
  • Prepare updates and notifications for Management, Senior Citi Risk forums, and Regulators
  • Engage with stakeholders across Model Risk Management, Market Risk Managers, and Market Risk Analytics to maintain governance framework

Key requirements

  • Extensive internal risk model governance and regulatory management expertise, including FRTB SA/IMA
  • Strong knowledge of Basel IMA, FRTB SA and FRTB IMA rulebooks
  • Excellent written and spoken communication; ability to influence across a global organization
  • Self-starter with multitasking ability and strong change/project management skills
  • Technical academic background; experience interacting with First/Second Line technical experts
  • 10+ years of relevant experience
  • Bachelor’s degree in a quantitative or financial discipline; advanced degrees preferred
  • strong communication
  • cross-functional collaboration
  • initiative and adaptability
  • FRTB SA
  • FRTB IMA
  • regulatory market risk capital reporting

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Posted: October 1st, 2026