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Market Risk Senior Officer – Senior Vice President - Australia
Market Risk Senior Officer – Senior Vice President - Australia
Job details
Job type
Full job description
Discover your future at Citi
Working at Citi is far more than just a job. A career with us means joining a team of approximately 219,000 dedicated people from around the globe. At Citi, you’ll have the opportunity to grow your career, give back to your community and make a real impact.
Job Overview
Citi is seeking a Senior Market Risk Officer to manage the market risk exposure across Interest Rates, FX, Equity, Commodities, and Treasury trading desks in Sydney. In this senior role, you will work closely with trading desks and senior stakeholders to protect Citi's financial position by ensuring robust risk frameworks, analytical integrity, and regulatory alignment. Your work will directly influence risk-governance decisions and shape how Citi manages exposure across a broad range of financial products.
Responsibilities
- Oversee market risk across Interest Rates, FX, Equity, Commodities, and Treasury trading desks, ensuring risk positions are accurately captured, monitored, and reported on a daily basis.
- Review and approve transactions and risk frameworks for risk-taking units, applying advanced judgment to uphold Citi's risk standards.
- Monitor compliance with risk limits and triggers, escalating breaches and recommending corrective actions to trading management.
- Partner with the colleagues to identify and analyse sources of market risk variation, translating quantitative findings into clear business insights.
- Collaborate with Model Validation, Risk Analytics, and Financial Control teams to ensure the accuracy and integrity of risk methodologies and models.
- Engage with colleagues to enhance the accuracy and quality of regulatory and management reporting.
- Lead projects to improve the precision and reliability of Market Risk Analytics, driving measurable improvements in analytical infrastructure.
- Stay current with evolving regulatory requirements and internal policy changes, ensuring the organisation's risk practices remain compliant and forward-looking.
Required Qualifications & Skills
- 10 or more years of relevant experience in market risk or trading.
- University degree in a quantitative or financial discipline such as Mathematics, Finance, Science or a related field.
- Advanced knowledge of financial instruments, risk metrics, and market risk management across asset classes including rates, FX, equities, and commodities.
- Expert understanding of treasury, liquidity management, secured financing, securitization, and derivative products.
- Strong analytical and quantitative skills with the ability to translate complex risk data into clear, actionable conclusions for senior audiences.
- Proven ability to communicate and negotiate effectively at senior levels, including with regulators, auditors, and cross-functional leadership teams.
- Familiarity with AI and coding tools in order to provide deep risk analysis.
Beneficial Skills & Qualifications
- Experience coding in Python for risk modelling, data analysis, or automation of analytical workflows.
- Hands-on experience working alongside trading desks in a front-office or closely aligned risk function.
- Exposure to regulatory engagement and experience preparing materials for auditors or regulatory review.
- Strong project management capability with a track record of delivering analytical or risk infrastructure improvements.
What We Offer
At Citi, senior professionals are given the scope to make a genuine impact — operating at the intersection of trading, risk governance, and regulatory strategy on a global scale. This is an environment built on performance, collaboration, and long-term professional development.
- Direct engagement with trading desks and senior leadership, giving you visibility and influence over consequential risk decisions.
- Access to Citi's global network of risk, analytics, and financial professionals, enabling meaningful cross-functional collaboration at scale.
- Ongoing learning and development opportunities, including exposure to cutting-edge risk analytics, modelling frameworks, and regulatory developments.
- Wellbeing and family support resources through Citi's localised employee benefits programme in Sydney.
Apply today to take senior ownership of market risk at one of the world's leading financial institutions and shape the frameworks that protect Citi's trading activities across global markets.
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Job Family Group:
Risk Management-
Job Family:
Market Risk-
Time Type:
Full time-
Most Relevant Skills
Analytical Thinking, Credible Challenge, Governance, Policy, Procedure, and Regulation, Portfolio Analysis, Risk Management Lifecycle.-
Other Relevant Skills
For complementary skills, please see above and/or contact the recruiter.-
Citi is an equal opportunity employer, and qualified candidates will receive consideration without regard to their race, color, religion, sex, sexual orientation, gender identity, national origin, disability, status as a protected veteran, or any other characteristic protected by law.