In-Business Market Risk Manager - Director
Citi Group
In-Business Market Risk Manager - Director Job Req Id: 26963529 Location(s): Hong Kong, Central and Western District, Hong Kong SAR Job Type: On-Site/Resident Posted: May. 15, 2026 Job Overview The Global Markets In-Business Risk (IBR) is a Front Office 1st Line of Defense team responsible for market risk across asset classes within Citi’s Global Markets division. The team aims to establish a holistic understanding of market risk and capital of the aggregated trading portfolio, as well as to optimize the business’s return on capital. Global Markets IBR covers all trading businesses globally such as Rates and Currencies, Global Spread Products, Commodities, and Global Equities. This Director-level role will focus on the coverage of cross-asset portfolio risks arising from the firm\'s trading activities. The ideal candidate will have a background in fixed income or equities trading and possess deep market knowledge and experience with pricing/valuation/risk frameworks. Key Responsibilities Proactively identify, quantify, and analyze key market risks within the Markets’ trading inventory, considering the broader market environment, emerging themes, and portfolio concentrations. Communicate findings and discuss risk dynamics with the Head of IBR and senior trading business heads. Understand the firm’s risk appetite, limits, and our capital framework to allow effective optimization and allocation of risk. Closely track the performance of products across Global Markets, understanding the drivers of market movements to form a forward-looking view on material, concentration, and emerging risks. Translate complex risk, P&L and market data into actionable insights and develop sophisticated solutions for monitoring first-line Market Risk. Support the Head of IBR and Business Heads in analyzing their return on capital and adherence to the firm's risk appetite framework. Work collaboratively with independent risk teams (2nd Line of Defense) to size appropriate risk limits for the business and monitor risk utilization. Drive the development of advanced data analytics tools and comprehensive risk monitoring frameworks by partnering with Technology, Quants, and asset-class specific IBR teams to enhance first-line risk management efficiency. Assist with regulatory inquiries and requirements. Provide thought leadership and mentorship to junior members of the team, fostering their professional development and ensuring the highest quality of analytical output. Qualifications 10+ years of experience, preferably in Fixed Income, or Equities Trading or Structuring/Quantitative Analysis, with a significant focus on managing Market Risk. Familiarity with risk management frameworks and ability to extract risk insights from portfolio metrics Proven experience in leading or guiding junior analysts or team members. Deep subject matter expertise in at least one major asset class (e.g., EM Rates) and broad cross-asset class product and market knowledge. Exceptional analytical, quantitative, and numerical competency with strong attention to detail and problem-solving skills. Advanced programming skills in Python and SQL are an advantage; should be enthusiastic AI adopter/champion. Consistently clear and concise written and verbal communication skills, with the ability to engage effectively with senior stakeholders. Excellent interpersonal skills to develop and maintain strong relationships with trading desks, second-line risk teams, technology and other partners. Must be highly self-motivated and inquisitive, with a strong interest in financial markets and trading. Education Bachelor’s or Master’s degree, preferably in a quantitative field such as Finance, Economics, Engineering, or Statistics. 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. If you are a person with a disability and need a reasonable accommodation to use our search tools and/or apply for a career opportunity review Accessibility at Citi (opens in new window). View Citi’s EEO Policy Statement and the Know Your Rights poster. #J-18808-Ljbffr Citi
$170.26k - $200.3k
...’re on a journey to do our best. Helping the customers and businesses we serve to make better and smarter financial decisions and... ...what you excel at—all from Day One.Job DescriptionThe Senior Market Risk Manager will be responsible for the independent measurement,...SuggestedFull timeWork experience placementLocal area3 days per week$139.3k - $212.5k
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...specific responsibilities and business needs.At Bank of America, you... ...compliance and operational risk oversight for a Front Line Unit... ...Policy, the Operational Risk Management Enterprise Policy (... ...rules of the relevant products, markets and venues, and other relevant...Full timeWork at officeLocal areaFlexible hoursDay shift- David Energy is seeking a Risk Manager to lead its risk management function as the company scales its Beat the Utility product in the New... ...has 8+ years in retail energy, strong knowledge of major energy markets, and a data-driven mindset with automation #J-18808-Ljbffr...
$175k - $190k
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Hudson River Trading is hiring a Commodities Risk Manager for our NYC office. You will be... ...improving, managing, and communicating market and liquidity risk for commodities instruments... ...impact on a new growth area of HRT’s business. This will be a challenging role with a...Work at officeLocal areaImmediate start$115k - $184.5k
...responsibilities and business needs.At Bank of America... ...for providing risk oversight and advice to... ...Business (LOB) on risk management issues. Key responsibilities... ...including credit, market, operational and compliance... ...-dealer Board of Directors, as appropriate. Monitor...Full timeWork at officeFlexible hoursDay shift$125k
We are looking for a Junior Risk Manager to join our expanding discretionary team. This is a... ...develop Squarepoint’s discretionary trading business worldwide. As a member of our team, you... ...and controls to ensure that risks (market risks, operational risk, conduct risk, etc...Worldwide- ...TrombinoJob ID: REQ8003Balyasny Asset Management L.P. (BAM) is a global... ..., absolute returns in all market environments by fostering a culture... ...market conditions, minimize risk, and provide superior service... ...global Systematic Trading business:Conduct daily and intraday...Temporary work
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...of our distinctive investment management capabilities, we provide a... ...to established and approved risk policy. Partner with investment... ...their benchmarks, reporting on market, liquidity and concentration... ...collaborating with the investment and business development teams.· Maintain...Full timeWork experience placementWork at officeFlexible hours- Posted 4 days agoRisk Manager/Claims opening in Roslyn, New York. Leading Housing Developer seeks a multi-line Claims professional who is also interested in assisting with overall risk management. Primary duties will involve handling claims, reviewing vendor insurance...For subcontractor
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