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Job description
A credit risk management role within Citi's Institutional Credit Management (ICM) function, focusing on credit underwriting and risk assessment for alternative investment managers like Hedge Funds, Private Equity, and Institutional Family Offices. The role requires deep understanding of complex financial products, strong analytical skills, and expertise in credit risk evaluation.
This role involves evaluating transactions across complex products, conducting comprehensive credit risk assessments for alternative asset managers. The professional will be responsible for comprehensive credit underwriting, generating credit approval memos, negotiating credit structures, and monitoring credit risk across various financial instruments.
The ideal candidate must possess significant experience in risk management, specifically with alternative investment counterparties. They should demonstrate strong technical skills in understanding capital markets products, complex financing structures, and derivatives. Expertise in analyzing Hedge Funds, Private Equity, and Institutional Family Offices is crucial, along with the ability to make decisions under pressure and communicate complex risk assessments effectively.
Citi offers a challenging environment for experienced risk management professionals to leverage their skills in a global, dynamic financial institution. The role provides opportunities to work with sophisticated financial products, develop deep industry expertise, and contribute to the bank's robust risk management framework. Competitive compensation, professional development, and exposure to complex financial transactions are key benefits of this position.
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