Senior Market Risk Model Governance Lead

Citigroup Inc.

Greater London

Hybrid

GBP 90,000 - 120,000

Full time

4 days ago
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Benefits offered by this job

Generous holiday allowance
Discretional annual bonus
Private medical insurance
Pension plan
Paid parental leave
Exclusive discounts for employees
Learning and development resources

Job summary

Citi London is seeking a senior Market Risk professional to lead governance for risk models within Global Market Risk. You will drive design, implementation, and oversight of model governance processes across risk functions, ensuring alignment with FRTB SA/IMA and regulatory expectations.

You will collaborate with Market Risk Managers, Model Risk Management, Finance, and other stakeholders to deliver governance improvements, report to senior forums, and support regulatory interactions.

Qualifications

  • Bachelor’s degree/University degree in a Quantitative or Financial discipline.
  • Master’s degree preferred.

Responsibilities

  • Support multi-functional interaction for deliverables and governance.
  • Coordinate updates to Management, Senior Citi Risk forums and Regulators.

Skills

Market risk governance
Regulatory knowledge
Change management
Quantitative risk
Program/Project management

Education

Bachelor’s degree in quantitative/financial discipline
Master’s degree preferred

Tools

SQL
Excel/VBA

Job description

Citi London is seeking a senior Market Risk professional to lead governance for risk models within Global Market Risk. You will drive design, implementation, and oversight of model governance processes across risk functions, ensuring alignment with FRTB SA/IMA and regulatory expectations.

You will collaborate with Market Risk Managers, Model Risk Management, Finance, and other stakeholders to deliver governance improvements, report to senior forums, and support regulatory interactions.

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