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Credit Risk Portfolio Manager, SVP

Remote · USA Full-time New today

SVP on Second Line of Defense (2LOD), Hedge Fund Credit Team The Senior Vice President will be responsible for managing Citi's credit risk, providing review and challenge to the First Line of Defense (1LOD) Institutional Credit Management (ICM) team based on risk appetite, policies, exceptions, and credit analysis. Responsibilities: • Providing review, challenge and final approval of initial and annual credit reviews conducted by ICM on a portfolio of hedge funds. • From 2LOD perspective, approving credit facilities, specific transactions, and exceptions within delegated credit authority. • Approving trade exceptions while communicating with the sales team when necessary. • Advancing and innovating risk management tactics. • Streamlining processes and changing firm-wide policies and procedures to be more reflective of current market conditions. • Reviewing and challenging credit-related terms in ISDA, MRA, MSFTA and other capital markets documentation proposed by the 1LOD. • Partnering with a specific trading desk within the firm and educating the team on the risks associated with their given desk(s). • Interacting with ICM team, Hedge Fund clients, trading desks, operations and legal. • Providing leadership and guidance to junior staff. Qualifications: • Experience managing a complex portfolio of hedge funds - spanning the various strategies traded by these counterparties. • 5 years of previous work experience in a related field. • Knowledge across Capital Markets trading and lending products, particularly in derivatives, structured and other complex products traded by hedge funds. • Strong risk management skills as well as familiarity with current risk reporting platforms for risk monitoring and stress testing purposes is highly beneficial. • Advanced working knowledge of Microsoft Excel, PowerPoint, Word, and Access. • Highly effective communication skills, used to partner with other groups and present findings and suggestions to management. • Motivated and confident to drive change. • Attention to detail; unaffected by high pressure situations. • Quantitative and intuitive skills in the risks inherent in capital markets products, transactions, and positions. • Formal credit training with experience in a global institution. • Real sense for how to build / support business growth. • Bachelors degree required; additional degrees/designations which may include MBA, or MS desirable. Apply Job!

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