APAC Prime Finance and FDC (Futures & Derivatives Clearing) Risk Manager
Citi Group
APAC Prime Finance and FDC (Futures & Derivatives Clearing) Risk Manager Job Req Id: 26961143 Location(s): Hong Kong, Central and Western District, Hong Kong SAR Job Type: Hybrid Posted: May. 14, 2026 Job Overview Citi is seeking a senior In-Business Risk (IBR) professional to join the APAC Equities franchise, reporting to the APAC Head of In-Business Risk. This role carries responsibility for counterparty and platform risk management across Prime Brokerage, FX Prime Brokerage (FXPB), Futures & Derivatives Clearing (FDC), Equity Derivatives (QIS strategies), and Equity Cash. The APAC IBR team covers both regional and global clients investing in APAC, engaging with Hedge Funds, Real Money counterparties, Banks, Insurance companies and Sovereign Wealth Fund counterparties. The ideal candidate will bring deep expertise across tradable products and asset classes including equities (cash and swap), fixed income/rates, deployed across a range of strategies (Equity Long/Short; Multi-Strat; Event; Macro; and Quant / QIS strategies).
KEY RESPONSIBILITIES
Client & Portfolio Risk Management Oversee daily client portfolio exposures to ensure risks are controlled, optimally sized, and within approved limits. Serve as a senior escalation point for counterparty risk events, emerging credit concerns, and crisis management across all covered business lines. Facilitate new client trades and manage existing portfolio exposures, ensuring market-driven counterparty risk, documentation, legal, and reputational risks are well-controlled. Interface directly with clients to help Citi grow the platform; participate in client pitches, term negotiations, and ongoing dialogue to support risk-efficient returns growth. Work closely with Sales and Client Onboarding teams to ensure appropriate risk frameworks are in place from inception. Risk Analysis & Governance Perform trade and portfolio risk analysis incorporating scenario stress testing, sensitivity analysis (Greeks, VaR, liquidation costs), and margin adequacy assessments. Formulate views on product risk appetite; review and challenge business stakeholder requests with a balanced risk-reward perspective. Establish and maintain limit structures and governance processes to ensure clients operate within approved risk parameters. Identify and escalate emerging risks — credit, market, operational, or legal — to senior management; proactively propose risk solutions. Ensure full compliance with In-Business Risk Procedures, regional regulatory requirements, and applicable policies. Serve as IBR product SME for regulatory inquiries. Stakeholder Engagement Communicate risk views to senior management and represent IBR in senior forums; articulate and defend divergent risk positions with conviction. Work closely with Credit Risk Management on client onboarding, limit sizing, and dynamic margin methodologies. Collaborate with Market Risk, Quant (MQA), and stress test developers to build models for accurate measurement of overnight and intraday client exposure. Platform Development & Leadership Modernize intraday risk and margin controls; drive process re-engineering in partnership with Product, Technology and Operations. Develop strategic risk solutions and platform enhancements to advance Citi's competitive advantage; participate in IT book of work prioritization. Mentor and develop junior talent within the global IBR team.KNOWLEDGE & EXPERIENCE
Extensive front-office risk management experience (1LoD) in an institutional setting; 15+ years in financial services preferred, with experience leading analytical teams preferred. Subject matter expertise in Prime Brokerage and FXPB platforms, including cash and synthetic prime, equity delta one, and secured financing structures. Ability to work well with cross-functional teams from Product, Sales, Credit, Risk, Technology, Operations, Legal and Compliance Working knowledge of Cash Equities, Futures, OTC Clearing, and QIS, including systematic and factor-based investment approaches. Experience with Prime Brokerage and Listed derivatives client documentation (PBAs, ISDAs, CSAs, Clearing Agreements, Market specific clearing agreements) and negotiating term agreements. Previous client-facing experience with hedge funds and institutional counterparties, including APAC-based clients. Experience engaging with regulators (e.g., MAS, SFC, HKMA) on risk management-related issues preferred.SKILLS
Exceptional analytical and quantitative modelling skills with strong attention to detail Scenario stress testing acumen; ability to balance risk and reward to facilitate business growth Strong written and verbal communication skills; able to convey complex risk concepts to senior management, clients, and regulators Collaborative across cross-functional teams — Structuring, Sales, Trading, Credit Risk, Technology, Operations, Legal, and Compliance Solutions-oriented client engagement mindset; ability to challenge the status quo and re-engineer processes Programming skills desirable: Python, Excel (VBA), SQLEDUCATION & QUALIFICATIONS
15+ years of experience in financial services with a Bachelor’s degree in a quantitative discipline preferred Career notes and unrelated details have been omitted to preserve focus on the role responsibilities and qualifications. Job Family Group: Institutional Trading Job Family: Structuring Time Type: Full time Most Relevant Skills Please see the requirements listed above. 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 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- ...seeking someone to join our Prime Brokerage Business Control... ...Director focused on Cleared Listed Derivatives (Futures and Options). The individual... ...enhancing the non‑market risk framework, governance, and... ...compliance, and risk management. The role requires close partnership...SuggestedFull timeTemporary workWork at office
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