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Alternative Asset Credit Risk Manager

1 month ago


London, Greater London, United Kingdom Citigroup Inc. Full time
Credit Risk Manager Job Description

Citi continues to enhance its business control and governance framework by building out Institutional Credit Management (ICM), a new function in the 1st Line of Defense, to house and consistently manage credit risk activities performed across its Institutional Client Group organization. ICM's Counterparty Credit Risk's objective is to provide integrated "end-to-end" credit underwriting, identification, measurement, management, and monitoring for wholesale credit risk across the enterprise. Within ICM, the CCR Underwriting function provides analysis, greenlight, underwriting, first-line-of-defense credit approval and subsequent credit monitoring across all ICG wholesale credit businesses including Banking, Capital Markets, and Advisory (BCMA), Global Structured Products, Financings, and Securitizations (GSP-F&S), Treasury & Trade Services (TTS), Markets, and Securities Services (MSS).

Key Responsibilities:

Evaluating transactions risk across the business covering full range of complex products
Role demands excellence in analysis, underwriting, monitoring, and drives global consistency across regions
Conduct and take ownership of the Credit Approval Memo process (CAM), generate risk rating and update on an as need basis, perform quality control of the CAM / Risk Rating Scorecard
Negotiation of credit structures and documentation, including ISDA's, Derivatives Clearing, Prime Brokerage and Repo documents
Strong knowledge of Derivatives and structured lending
Facilitate relationships with key clients in Banking and Risk

Requirements:

Ability to understand capital markets products and complex financing and product structures
Significant risk/risk-related counterparty credit work experience in banking/financial institutions with expertise in the alternative investment counterparties
Demonstrates strong ethics and integrity
Dynamic, flexible, and with strong communication skills
Can make decisions under pressure and short timeline
Excellent verbal & written communication skills

Qualifications:

4+ years in Risk Management covering Hedge Funds, Private Equity and Institutional Family Offices
Bachelor's degree/University degree or equivalent experience
Master's degree preferred