bachelor or Master degree, preferably in maths, engineering, science, finance
proven history of successful trading book management
Responsabilité
manage risk on a portfolio basis
this is a junior level Trader position within Prime Finance responsible for participating in the day to day activities of the stock loan and funding desk on Citigroup Global Markets Europe AG
ensure compliance with all relevant regulations and internal policy
within the non-linear rates trading business
development of the funding and triparty activity on CGME
create, optimize and manage desk risk and p&l reports
offer certain client full sales trading plus trading coverage and ensure compliance with all relevant regulations and internal policy
coordinate with desk analysts as needed and with sales to develop the franchise
private banker
Responsabilité
ensures clients are presented with seamless execution of internal processes and Citigroup services
plans and prioritize daily, weekly, and monthly activities to maximize revenue growth and client satisfaction
understands the broad array of products and services under the Citigroup umbrella
transfers or eliminate non-productive accounts in order to focus on clients who fit within the business strategy
advocates for the client, negotiating on their behalf with members of the Private Bank and Citigroup
Exigences
extensive experience in integrating and balancing diverse priorities
extensive and proven experience in UHNW Private Banking or the institutional/corporate banking market, specifically covering the Monaco UHNW market
anticipate events in a client's life and business which have significant financial implications
fluent English and French or Italian would be desirable
able to work as part of a team
extensive and proven experience in HNW and UHNW Private Banking or the institutional/corporate banking market, specifically covering the French market
creative and innovative
strong communication skills
risk manager
Exigences
bachelor’s/University degree , Post-graduate education in Economic, Finance, Financial Risk Management, or other quantitative discipline preferred
fluent in written and spoken English
excellent teamwork and project management skills
expert analytical, technical and quantitative skills
strong quantitative and analytical skills
strong tenacity and resilience
track record of success in delivering high quality work in a fast paced and dynamic environment
all Job Functions
Responsabilité
ensure that market risk component of relevant audits, inspections and reviews are completed successfully
ensure that any market risk follow up actions raised by internal and external audits are diligently performed
initiating short / long term business strategies overseeing recommendations through implementation
ensure the delivery of market risk reports/commentary to ALCO & other Risk Committees, regulators and Senior Management
close co-operation with other market risk managers responsible for individual CGME products / desks / branches
assess market risk aspects of new products for CGME working in close co-operation with senior business sponsors and risk chairs for New Products Committees