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Collateral Risk Manager AVP
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- The Collateral Risk Manager is a key member of the in-business credit risk function with responsibility for the collateral that underpins the bank's lending, derivatives and securities financing activities.
- ICM's principal focus is credit risk: it has the objective of providing integrated "end-to-end" credit underwriting and the management of associated risks for wholesale credit businesses across the enterprise.
- Within ICM, the Collateral team focuses on the monitoring and management of risks relating to collateral posted and received in connection both with Citi's trading and banking book activities.
- The role reports to the regional head of ICM Collateral Management.
- The identification, classification and prioritization of collateral related risks (including wrong way risk, and, in collaboration with ICM colleagues, the internal assessment of credit and liquidity characteristics of collateral
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