SVP Enterprise Concentration Risk Management - Identification and Monitoring (Hybrid)

Remote, USA Full-time
About the positionResponsibilities• Conduct comprehensive risk assessments, considering both internal and external factors to identify material / emerging concentration risks, evaluate their potential impact, and recommend appropriate risk mitigation strategies. • Prepare clear, concise, and compelling risk reports for senior management and the Board by synthesizing key concentration issues that impact Citi. • Articulate complex risk issues in a way that resonates with diverse audiences. • Lead robust review and challenge sessions with key stakeholders across multiple risk stripes to enhance concentration related key risk indicators (KRIs) and monitor their exposure.• Ensure all monitoring and reporting procedures align with ECRM risk policies and work effectively with individual business risk policies as they pertain to ECRM. Requirements• Strong background in Financial Risk Management with at least 4 years of hands-on experience in Enterprise Risk Management. • 10+ years of Risk Management experience at large banks. • Broad understanding of different risk stripes within ECRM framework, including but not limited to credit, market, operational, liquidity, DSFT risks, etc.• Familiarity with Regulatory expectation around Concentration Risk will be extremely helpful. • Strong analytical skills and the ability to link common risks across different risk areas. Nice-to-haves• Master's degree preferred. • Certified RiskProfessional (CRP), Financial Risk Manager (FRM), or similar certifications is desirable. Benefits• 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 Apply tot his job
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