Current jobs related to Markets Treasury Risk Officer - London, Greater London - Citigroup Inc.
-
Markets Treasury Risk Officer
4 weeks ago
London, Greater London, United Kingdom Citigroup, Inc. Full timeMarkets Treasury In-Business Risk Officer, AVPThe Markets Treasury In-Business Risk (IBR) team is a critical component of the Global Markets Treasury organization, responsible for identifying and mitigating market risk. As a Business Risk Officer, you will play a key role in establishing a holistic understanding of market risk, including new and emerging...
-
Markets Treasury Risk Officer
4 weeks ago
London, Greater London, United Kingdom Citigroup, Inc. Full timeMarkets Treasury In-Business Risk Officer, AVPThe Markets Treasury In-Business Risk (IBR) team is a critical component of the Global Markets Treasury organization, responsible for identifying and mitigating market risk. As a Business Risk Officer, you will play a key role in establishing a holistic understanding of market risk, including new and emerging...
-
Treasury Risk Manager
3 weeks ago
London, Greater London, United Kingdom Tax & Treasury Recruitment Full timeTreasury Consultant OpportunityWe are seeking a highly skilled Treasury Consultant to join our client's team in Marlow, Berkshire, on a 6-month contract basis.The ideal candidate will be a seasoned Treasury professional with extensive experience in managing foreign exchange risk, particularly in FTSE100/250 sized organizations. With a strong background in...
-
Treasury Risk Management Specialist
2 weeks ago
London, Greater London, United Kingdom Tax & Treasury Recruitment Full timeTreasury Consultant OpportunityWe are seeking a highly skilled Treasury Consultant to join our client's team in Marlow, Berkshire. As a key member of the treasury team, you will be responsible for managing foreign exchange risk and leading on the mitigation of this risk through various means.Key Responsibilities:Manage foreign exchange risk and develop...
-
Treasury Risk Management Specialist
2 weeks ago
London, Greater London, United Kingdom Tax & Treasury Recruitment Full timeJob DescriptionTax & Treasury Recruitment have been engaged by a leading FTSE250 client to recruit a Treasury Consultant for a short-term contract, to join their team in the UK.You will be a seasoned Treasury professional, specifically with extensive experience managing foreign exchange risk, gained within FTSE100/250 sized organisations. With the USD...
-
Treasury Risk Manager
1 month ago
London, Greater London, United Kingdom Starling Bank Full timeAbout the RoleWe are seeking a highly skilled and experienced Treasury Risk Manager to join our team at Starling Bank. As a key member of our 2nd line risk function, you will be responsible for overseeing and challenging market risk, predominantly Interest Rate Risk in the Banking Book (IRRBB), as well as FX and credit spread risk.Key...
-
Treasury Risk Manager
1 month ago
London, Greater London, United Kingdom Starling Bank Full timeAbout the RoleWe are seeking a highly skilled and experienced Treasury Risk Manager to join our team at Starling Bank. As a key member of our 2nd line risk function, you will be responsible for overseeing and challenging market risk, predominantly Interest Rate Risk in the Banking Book (IRRBB), as well as FX and credit spread risk.Key...
-
Treasury Markets Leader
3 weeks ago
London, Greater London, United Kingdom Empirical Search Full timeJob Title: Treasury Markets DirectorEmpirical Search is seeking a seasoned Treasury Markets Director to lead our team in driving strategic growth and managing key market risks. As a key member of our leadership team, you will work closely with the Group Treasurer and other senior executives to support our fast-growing business.Key Responsibilities:Develop...
-
Head of Treasury Risk Management
2 weeks ago
London, Greater London, United Kingdom Starling Bank Full timeWe're Starling Bank, a fully licensed UK bank with a culture and spirit of a fast-moving, disruptive tech company. We're looking for a Head of Treasury Risk to join our 2nd line risk function, reporting to the Director of Financial Risk.The role will cover the oversight and challenge of Market Risk, predominantly Interest Rate Risk in the Banking Book...
-
Treasury Markets Director
3 weeks ago
London, Greater London, United Kingdom Empirical Search Full timeEmpirical Search Treasury Markets ManagerEmpirical Search is seeking a seasoned Treasury Markets Manager to lead our Payment Solutions team. As a key member of our Fintech team, you will drive the Treasury strategy to manage and optimize key market risks, particularly FX risks, and its excess liquidity and funding strategy.Key ResponsibilitiesLead a small...
-
Head of Treasury Risk Management
2 weeks ago
London, Greater London, United Kingdom Starling Bank Full timeAbout the RoleWe are seeking a highly skilled Head of Treasury Risk Management to join our team at Starling Bank. As a key member of our 2nd line risk function, you will be responsible for overseeing and challenging Market Risk, predominantly Interest Rate Risk in the Banking Book (IRRBB), as well as FX and credit spread risk.You will work closely with the...
-
Interim Treasury Specialist
4 weeks ago
London, Greater London, United Kingdom Tax & Treasury Recruitment Full time £700 - £800Treasury Consultant OpportunityWe are seeking a highly experienced Treasury Consultant to join our client, a FTSE250 company, on a 6-month contract basis. The successful candidate will be responsible for managing foreign exchange risk and leading on treasury strategy, processes, policies, and controls.Key Responsibilities:Manage foreign exchange risk through...
-
Interim Treasury Specialist
4 weeks ago
London, Greater London, United Kingdom Tax & Treasury Recruitment Full time £700 - £800Treasury Consultant OpportunityWe are seeking a highly experienced Treasury Consultant to join our client, a FTSE250 company, on a 6-month contract basis. The successful candidate will be responsible for managing foreign exchange risk and leading on treasury strategy, processes, policies, and controls.Key Responsibilities:Manage foreign exchange risk through...
-
Head of Treasury Risk Management
2 months ago
London, Greater London, United Kingdom Starling Bank Full timeAbout the RoleWe are seeking a highly skilled and experienced Head of Treasury Risk to join our team at Starling Bank. As a key member of our 2nd line risk function, you will be responsible for overseeing and challenging Market Risk, predominantly Interest Rate Risk in the Banking Book (IRRBB), as well as FX and credit spread risk.Key...
-
Head of Treasury Risk Management
2 months ago
London, Greater London, United Kingdom Starling Bank Full timeAbout the RoleWe are seeking a highly skilled and experienced Head of Treasury Risk to join our team at Starling Bank. As a key member of our 2nd line risk function, you will be responsible for overseeing and challenging Market Risk, predominantly Interest Rate Risk in the Banking Book (IRRBB), as well as FX and credit spread risk.Key...
-
Head of Treasury Risk Management
1 month ago
London, Greater London, United Kingdom Starling Bank Full timeAbout the RoleWe are seeking a highly skilled and experienced Head of Treasury Risk to join our team at Starling Bank. As a key member of our 2nd line risk function, you will be responsible for overseeing and challenging Market Risk, predominantly Interest Rate Risk in the Banking Book (IRRBB), as well as FX and credit spread risk.Key...
-
Head of Treasury Risk Management
1 month ago
London, Greater London, United Kingdom Starling Bank Full timeAbout the RoleWe are seeking a highly skilled and experienced Head of Treasury Risk to join our team at Starling Bank. As a key member of our 2nd line risk function, you will be responsible for overseeing and challenging Market Risk, predominantly Interest Rate Risk in the Banking Book (IRRBB), as well as FX and credit spread risk.Key...
-
Head of Treasury Risk Management
3 weeks ago
London, Greater London, United Kingdom Starling Bank Limited Full timeAbout the RoleWe are seeking a highly skilled and experienced Treasury Risk Manager to join our team at Starling Bank Limited. As a key member of our 2nd line risk function, you will be responsible for overseeing and challenging market risk, predominantly Interest Rate Risk in the Banking Book (IRRBB), as well as FX and credit spread risk.Your primary...
-
Head of Treasury Risk Management
3 weeks ago
London, Greater London, United Kingdom Starling Bank Full timeAt Starling Bank, we're looking for a seasoned Treasury Risk professional to join our 2nd line risk function. As the Head of Treasury Risk Management, you'll be responsible for overseeing and challenging Market Risk, primarily Interest Rate Risk in the Banking Book (IRRBB), as well as FX and credit spread risk. You'll work closely with the Head of Liquidity...
-
Head of Treasury Risk Management
4 weeks ago
London, Greater London, United Kingdom Starling Bank Full timeAbout the RoleWe are seeking a highly skilled and experienced Head of Treasury Risk to join our team at Starling Bank. As a key member of our 2nd line risk function, you will be responsible for overseeing and challenging market risk, predominantly interest rate risk in the banking book (IRRBB), as well as FX and credit spread risk.Key...
Markets Treasury Risk Officer
1 month ago
The Markets Treasury In-Business Risk (IBR) team is a critical component of the Global Markets Treasury organization, responsible for identifying and mitigating market risk. As a Business Risk Officer, you will play a key role in establishing a holistic understanding of market risk, including new and emerging risks, and optimizing the business's return on capital.
Key Responsibilities:- Develop and maintain a deep understanding of market risk drivers and identify new and emerging risks.
- Monitor business capital footprint and work on initiatives to optimize capital usage through detailed analysis of drivers such as GSIB, stress losses, and RWA.
- Support the implementation of FRTB at Citi within Global Markets Treasury.
- Collaborate with 2nd Line of Defence on risk utilization, including annual and quarterly limit review.
- Strong knowledge of front office trading, with a focus on Linear Interest Rate and FX Risk.
- Excellent analytical, transformation, and problem-solving skills, with proficiency in data analytical tools such as Python and SQL.
- Strong attention to detail, self-motivation, and intellectual curiosity, with an interest in financial markets, trading, and macro economics.
Bachelor's/University degree or equivalent experience, with a preference for STEM Master's degree.
Citi offers a competitive base salary, annual performance-related bonus, and a range of benefits, including private medical insurance, employee assistance program, pension plan, paid parental leave, and special discounts for employees, family, and friends.