Counterparty Risk Product Manager & Analytics

Citi

Irving (TX)

On-site

USD 115,000 - 172,000

Full time

14 days+
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Benefits offered by this job

Medical, dental & vision
401(k)
Life & disability insurance
Wellness programs
Paid time off

Job summary

Citi is seeking a seasoned professional for the Counterparty Credit Risk project execution team within Enterprise Data in Irving, TX. You will lead strategic risk projects, develop and enhance measurement tools, and coordinate with Front Office, Risk, and Technology to ensure timely, compliant risk reporting.

The role requires 5+ years in finance, deep knowledge of derivatives and exposure metrics, and strong stakeholder management.

Qualifications

  • 5+ years of experience in the financial industry and banking
  • Direct experience in end-to-end project delivery, and knowledge of various analytical tools
  • Understanding of financial market products: Derivatives (Bilateral & Cleared), Securities Financial Transactions (SFTs), Margin lending and Financing
  • Knowledge of counterparty credit risk concepts, data, system integration, and processes
  • Understanding of counterparty exposure metrics: Net Stressed Exposure, Factor Sensitivities, Potential Future Exposure, Settlement Exposure, Intraday exposure
  • Excellent project management and business analysis skills
  • Strong written and verbal communication skills with focus on stakeholder management
  • Strong analytical and problem-solving skills with attention to detail
  • Ability to work with cross-functional teams from Business, Risk, Technology and Compliance
  • Ability to collaborate and clearly communicate with senior members of an organization
  • Ability to build networks and relationships internally and externally
  • Bachelor’s/Master’s degree in finance, technology, economics, or a related field preferred

Responsibilities

  • Lead strategic BAU and Regulatory projects primarily impacting Counterparty Credit Risk exposure measures for traded product markets business
  • Develop and enhance tools for the measurement, monitoring and reporting of counterparty exposure including Stress testing - Net Stressed Exposure (NSE), Potential Future Exposure (PFE), Settlement Risk, Intraday risk and participate in project management of strategic risk infrastructure development
  • Work in close coordination with Front office sales & trading, in-business risk managers, second line risk managers and risk senior stakeholders
  • Manage end-to-end project/product development lifecycle, build book of work, scope releases, track business priorities, define business requirements and UAT strategy incorporating regulatory and compliance requirements
  • Perform data analysis, document as-is and to-be state, requirement gathering, draft BRDs, UAT and Impact analysis
  • Work with all stakeholders to fulfil the delivery objectives for effective, accurate and timely risk management and reporting
  • Partners with senior team members and a widely distributed global user community to define and implement solutions
  • Help track and address CCR data and methodology issues, develop weekly metrics and remediation plans for system enhancements
  • Work with technology to understand infrastructure gaps, systems, and data flows. Identify and document gaps and suggest improvements for target state build-out
  • Communicate key findings and issues to senior management and provide regular status updates
  • Create presentations and documents for internal and regulatory use on various topics spanning deliverables in respective areas

Skills

Counterparty Risk
Project Management
Data Analysis
Stakeholder Management
Regulatory Reporting

Education

Bachelor’s/Master’s in finance/tech

Tools

BRD
UAT

Job description

Citi is seeking a seasoned professional for the Counterparty Credit Risk project execution team within Enterprise Data in Irving, TX. You will lead strategic risk projects, develop and enhance measurement tools, and coordinate with Front Office, Risk, and Technology to ensure timely, compliant risk reporting.

The role requires 5+ years in finance, deep knowledge of derivatives and exposure metrics, and strong stakeholder management.

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