Global Markets In-Business Risk (IBR) is a front office team responsible for market risk across all asset classes in Citi’s Global Markets division.
The team develops a holistic understanding of market risk and evaluates the risk/reward and capital impact across the aggregated Markets’ trading portfolio to optimize the return on capital, within risk appetites.
It covers Rates and Currencies, Spread Products, Commodities and Equities.
This role is focused on the cross-asset portfolio risks arising from Markets trading activities.
What you will do:
What we need from you
Education
Bachelor’s degree or master’s degree. Preferably in Economics, Engineering, Statistics, or Finance.
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Institutional Trading
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Trade Support
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Full time
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Please see the requirements listed above.
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For complementary skills, please see above and/or contact the recruiter.
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