• FX & International Markets - Strategy…

    Citigroup (New York, NY)
    …risk for Citi's accrual business (ie ex trading) to achieve Citi's desired rate position. CTI is also responsible for third party funding , such as the issuance ... liability management exercises (exchange offers, defeasance, etc.) for all capital securities issued through Citigroup Inc. and CBNA. The...through Citigroup Inc. and CBNA. The FX & International Markets (FXIM) team within CTI is responsible… more
    Citigroup (04/24/25)
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  • Fin Solutions Sr. Lead Analyst SVP - C14

    Citigroup (New York, NY)
    …owning different pieces of the Reinvestment and Funding and Liquidity activities ( CTI , CBNA and Intl Treasury, GLM, Capital , IRRBB, Markets Business ... of the group in forecasting exercises goes from coordination of guidance ( capital , liquidity, duration) to production of the forecasts and review & challenge… more
    Citigroup (03/22/25)
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