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United States, New York 136600.00 - 176000.00 USD / Year · Job Posted April 23, 2026
Job offer has expired
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Job Description
Citigroup Global Markets Inc. seeks a Financial Capital Management Officer for its New York, NY location. Duties: Understand the firm's overall risk appetite, limit and capital framework; understand key financial risks and related capital impacts (e.g., stress loss, risk-weighted assets (RWA), etc.) to improve return on capital. Assist trading businesses with the identification, assessment, and monitoring of material risks, evaluate risk/return of transactions to influence decision-making, help design appropriate hedging strategies, analyze trends to form forward-looking view of material, concentrated and emerging risks. Develop strategic tools to manage financial risks and capital partnership with Technology and Markets Quantitative Analysis (MQA). Strengthen risk monitoring, control, and governance processes within the business; continuous improvement mindset to drive enhancements related to risks and capital. Develop and maintain effective relationships with regulators; respond timely to requests in partnership with risk and finance. Appropriately assess risk when business decisions are made. A telecommuting/hybrid work schedule may be permitted within a commutable distance from the worksite in accordance with Citi policies and protocols.
Job Responsibility
Understand the firm's overall risk appetite, limit and capital framework
understand key financial risks and related capital impacts (e.g., stress loss, risk-weighted assets (RWA), etc.) to improve return on capital
Assist trading businesses with the identification, assessment, and monitoring of material risks, evaluate risk/return of transactions to influence decision-making, help design appropriate hedging strategies, analyze trends to form forward-looking view of material, concentrated and emerging risks
Develop strategic tools to manage financial risks and capital partnership with Technology and Markets Quantitative Analysis (MQA)
Strengthen risk monitoring, control, and governance processes within the business
continuous improvement mindset to drive enhancements related to risks and capital
Develop and maintain effective relationships with regulators
respond timely to requests in partnership with risk and finance
Appropriately assess risk when business decisions are made
Requirements
Bachelor's degree, or foreign equivalent, in Finance, Data Science, or a related field, and six (6) years of experience in the job offered or in a related quantitative occupation performing data or risk analysis
Performing data-driven financial analysis on business products with ability to process large dataset, providing summary views for business actions and financial insights for business decisions
Developing reports on market risk topics including limit usage, risk weighted assets, and stress testing, optimizing effectiveness of risk management and capital management
Utilizing Python and SQL programming languages to develop data analytics reports to improve efficiency of business management
Building dashboards utilizing Tableau, Qlikview, or other dashboard tools for monitoring performances of financial products
Employer will accept a Master's degree and four (4) years of experience
What we offer
medical, dental & vision coverage
401(k)
life, accident, and disability insurance
wellness programs
paid time off packages including planned time off (vacation), unplanned time off (sick leave), and paid holidays