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Credit Risk Manager for Alternative Assets

2 months ago


London, Greater London, United Kingdom Citi Full time

Citi is dedicated to strengthening its business control and governance framework by developing the Institutional Credit Management (ICM) function, which serves as a pivotal component in the 1st Line of Defense to systematically oversee credit risk activities across its Institutional Client Group.

The primary aim of ICM's Counterparty Credit Risk (CCR) is to deliver a comprehensive approach to credit underwriting, risk identification, measurement, management, and monitoring for wholesale credit risk throughout the organization.

Within ICM, the CCR Underwriting team is responsible for conducting thorough analysis, granting approvals, and providing first-line credit oversight across all ICG wholesale credit sectors, including Banking, Capital Markets, Advisory (BCMA), Global Structured Products, Financing, and Securitizations (GSP-F&S), Treasury & Trade Services (TTS), Markets, and Securities Services (MSS).

The Credit Risk Manager will play a crucial role in the global CCR underwriting team, engaging with a variety of products such as subscription call facilities, Fund Financing, FX, Derivatives, Prime Brokerage, and structured lending.

Key responsibilities include:

  • Managing relationships with alternative managers, including Hedge Funds, Private Equity, and Institutional Family Offices.
  • Assessing transaction risks across a diverse range of complex products.
  • Ensuring excellence in analysis, underwriting, and monitoring while promoting global consistency across regions.
  • Overseeing the Credit Approval Memo (CAM) process, generating risk ratings, and performing quality control of the CAM/Risk Rating Scorecard.
  • Negotiating credit structures and documentation, including ISDA agreements, Derivatives Clearing, Prime Brokerage, and Repo documents.
  • Building and maintaining relationships with key clients in Banking and Risk.
  • Providing well-reasoned assessments of risk/return trade-offs associated with transactions and client relationships.
  • Collaborating with global peers to leverage and implement best practices.
  • Understanding capital markets products and complex financing structures.

The ideal candidate will possess:

  • A minimum of 4 years of experience in Risk Management, particularly with Hedge Funds, Private Equity, and Institutional Family Offices.
  • A Bachelor's degree or equivalent experience; a Master's degree is preferred.
  • Strong communication skills and a dynamic, flexible approach.
  • Significant experience in counterparty credit risk within banking or financial institutions, with a focus on alternative investment counterparties.

Job Family Group: Risk Management

Job Family: Credit Decisions

Time Type: Full time

Citi is an equal opportunity employer. Qualified applicants will receive consideration without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, disability, or status as a protected veteran.

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