Job Location : New York,NY, USA
Working at Citi is far more than just a job. A career with us means joining a team of more than 230,000 dedicated people from around the globe. At Citi, you'll have the opportunity to grow your career, give back to your community and make a real impact.
Job OverviewCiti Treasury Investments (CTI): CTI is responsible for managing Citi Treasury's central liquidity and investment portfolios, executing the foreign exchange hedge program and providing internal US dollar financing to other trading desks. CTI manages the USD interest rate risk for Citi's accrual business (i.e. ex trading) to achieve Citi's desired rate position. CTI is also responsible for third party funding, such as the issuance of benchmark debt and structured notes, Credit Card securitizations, and liability management exercises (exchange offers, defeasance, etc.) for all capital securities issued through Citigroup Inc. and CBNA.
The FX & International Markets (FXIM) team within CTI is responsible for:
Key Responsibilities:
Conduct FX markets analysis for major DM and EM countries, such as central bank policies, fiscal policies, global trade flow, geopolitical events and cross asset class correlation; Assist FX and rates derivative transactions for FX capital hedging, bond investments and non-USD debt issuance hedging; Maintain reports of the investment and hedging activities to Senior Management and regulators; Help develop and maintain scenario-based risk monitoring framework for all net investment hedge and bond investment related limits and triggers; Monitor and evaluate performance of Citi versus Peers and track competitors' net investment hedge; Conduct FXIM's digital transformation initiatives.
Qualifications:
Business acumen, data analysis, internal controls, management reporting, problem solving, process execution, risk identification and assessment, transfer pricing. Assessment, credible challenge, regulatory compliance, risk management.