The Risk Analyst Program provides the unique perspective that comes with a strategic business partner throughout the divisions of the Firm. After training, Analysts have the opportunity to work in the Institutional Clients Group (ICG), the Consumer Bank and Citi Alternative Investments across many different functions such as Credit Risk, Market Risk, Risk Architecture, Infrastructure Risk and Risk Capital.
We are looking for people who can think globally, creatively and be innovative to help us to continue to succeed and meet our business goals.
The Risk Analyst Program has two separate tracks:
1) The Global Risk track
A 14 month rotational Program and is structured to respond to the increasingly quantitative and technical demands of the financial world. This allows Analysts with strong technical and quantitative abilities to spend time across the Citi Risk businesses including the Global Consumer Bank, Institutional Client Group, Private Bank and Brokerage, Risk Capital, Risk Architecture, Infrastructure Risk and our CAO groups.
2) The Institutional Clients Group (ICG) Risk track. Global Industries and Regional Markets (GIRM) Risk Program
Analysts will work primarily within the (GIRM) group and will work in a pool supporting a series of industries or products in the ICG. The Analysts will focus on analysis, transaction execution and portfolio management and will become our specialists in Credit Risk
We encourage applications from all backgrounds, Accounting and Finance degrees are a plus. The common factor in all of our new recruits is motivation, strong academic performance, positive attitude, strong analytical skills, excellent communication skills, and the ability to work independently or in a team setting in a challenging and changing, high-volume, fast paced environment. Having a genuine passion for the industry is also crucial to becoming a successful analyst
Apply now at oncampus.citi.com