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Counterparty Credit Portfolio Officer, VP (Hybrid)

Citigroup

Counterparty Credit Portfolio Officer, VP (Hybrid)

Citigroup

MUMBAI, Mahārāshtra, India

·

On-site

·

Full-time

·

1mo ago

We're currently looking for a high caliber professional to join our team as Vice President - Counterparty Credit Risk - C13 - Hybrid. (Internal Job Title: Vice President- C13) based in Mumbai - India. Being part of our team means that we'll provide you with the resources to meet your unique needs, empower you to make healthy decision and manage your financial well-being to help plan for your future. For instance: Coverage varies by country. We empower our employees to manage their financial well-being and help them plan for the future. We have a variety of programs that help employees balance their work and life, including generous paid time off packages. Candidates should have a minimum of 8+ years of experience in a large Financial Institution in Counterparty Credit Risk Prior work experience in Counterparty Credit Risk including Exposure and Margin frameworks/models, Stress testing, Wrong-Way Risk, Clearing and Settlement Risk Prior work experience in Markets businesses and products across OTC, Prime Brokerage, Clearing and Security Financing /Repo and across range of assets classes and lines of business Strong technical expertise of complex derivative structures and understanding of associated first order/second order risks Knowledge of Credit documentation and various Credit master agreements, legal terms related to netting/collateral/margin mechanics Broad understanding of current market and regulatory environment as applicable to Counterparty Credit Risk Expert in Microsoft Excel for complex data modeling, analysis, and ability to leverage Python (e.g., Pandas, NumPy, Matplotlib/Seaborn) and other relevant data analytics tools for data manipulation, statistical analysis, and visualization. Excellent organizational and communication skills Superior analytical and quantitative skills and be able to quickly distil transactions/business propositions to key risks Ability to work collaboratively with a wide group of cross-functional stakeholders across levels Demonstrated ability to lead meetings/calls, to listen to other points of view, provide appropriate challenge, influence partners Regularly communicates and ensures key messages are cascaded throughout the broader teams Demonstrates integrity and sound independent risk judgment and operates to the highest ethical standard Ability to work comfortably in a matrix environment Self-starter, motivated, aspirational Bachelor's/University degree or equivalent experience Analytical Thinking, Credible Challenge, Governance, Monitoring and Evaluation, Policy and Procedure, Policy and Regulation, Product Knowledge, Risk Controls and Monitors, Risk Identification and Assessment, Risk Remediation. ------------------------------------------------------ For complementary skills, please see above and/or contact the recruiter. ------------------------------------------------------ Ensure CCR frameworks, practices and policies applied to all market products, including all Over-The-Counter (OTC) Derivatives across Equity, Foreign Exchange (FX), Fixed Income, Commodities, Credit derivatives; Prime Brokerage, Futures and OTC Clearing, Securities Financing Transactions and Cash trading across all Credit portfolios Actively monitor CCR portfolio across business, risk stripes and legal vehicles on the quantum, trend, composition, and work in conjunction with Credit officers and Business partners to ensure CCR exposures remain within risk appetite. Focus on early warning and proactive problem recognition based on markets indicators and portfolio concentrations and timely escalate issues to senior management for any action or resolution Help 2nd line of defense Credit officers in pre-trade review, challenge, and what-if analysis for new complex derivatives activity with application of CCR frameworks for effective and efficient risk on-boarding Support CCR risk management governance by preparing and presenting updates on various CCR pillars to CCR councils and senior management forums Support regulatory interactions on the CCR and manage increasing demands of regulatory oversight on CCR including ensuring timely and accurate inputs to regulators Work Timings: 2:0O PM IST - 11:00 PM (IST) OR 3:00 PM (IST) - 00:00 Hrs (IST) as the incumbent will be supporting NAM /EMEA business

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About Citigroup

Citigroup

Citigroup

Public

Citigroup Inc. or Citi is an American multinational investment bank and financial services company based in New York City. The company was formed in 1998 by the merger of Citicorp, the bank holding company for Citibank, and Travelers; Travelers was spun off from the company in 2002.

10,001+

Employees

New York City

Headquarters

Reviews

3.3

4 reviews

Work Life Balance

3.0

Compensation

3.2

Culture

2.8

Career

2.5

Management

2.7

35%

Recommend to a Friend

Pros

Compensation increases for investment banking roles

Legitimate investment banking employer

Internship opportunities available

Cons

Unclear career progression paths

Limited meaningful experience in internships

Compensation raises lower than competitors

Salary Ranges

28 data points

Junior/L3

Mid/L4

Senior/L5

Junior/L3 · Investment Banking Analyst

13 reports

$135,050

total / year

Base

$117,500

Stock

-

Bonus

-

$126,500

$143,750

Interview Experience

5 interviews

Difficulty

2.8

/ 5

Duration

14-28 weeks

Experience

Positive 0%

Neutral 40%

Negative 60%

Interview Process

1

Application Review

2

Recruiter Screen

3

Programming Assessment

4

Hiring Manager Interview

5

Panel/Superday Interviews

6

Final Decision

Common Questions

Technical Knowledge

Case Study

Behavioral/STAR

Past Experience

Culture Fit