Job Description

Job Background/context:
Markets Treasury is responsible for managing Bank liquidity. Additionally, Markets Treasury manages and hedges significant interest rate and liquidity risk arising from the bank chain balance sheet utilizing a range of cash and derivative fixed income products, including a portfolio of high quality fixed income securities. The business additionally engages in selected secured lending activity. Markets Treasury is the primary interface for Markets users of the bank balance sheet, partnering all other Markets bank chain product groups to facilitate their accrual risk hedging and treasury requirements in order to develop the Treasury franchise, while working within a pre-determined transfer pricing framework, internal liquidity and price risk limits and related policies, along with the external regulatory frameworks applicable to the activities of the business.
Job Purpose:
Work within the Markets Treasury team based in Mexico, with a specific focus on the...

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