CITIGROUP INC. RISK MANAGEMENT COMMITTEE CHARTER As of January 29, 2016
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1 CITIGROUP INC. RISK MANAGEMENT COMMITTEE CHARTER As of January 29, 2016 Mission The Risk Management Committee (the Committee ) of Citigroup Inc. ( Citigroup ) is a standing committee of the Board of Directors ( Board ). The purpose of the Committee is to assist the Board in fulfilling its responsibility with respect to (1) oversight of Citigroup s risk management framework, including the significant policies and practices used in managing credit, market, operational and certain other risks, (2) oversight of Citigroup s policies and practices relating to funding risk, liquidity risk and price risk, which constitute significant components of market risk, and risks pertaining to capital management, and (3) oversight of the performance of the Fundamental Credit Risk ( FCR ) credit review function. The Committee reports to the Board of Directors regarding Citigroup s risk profile, as well as its risk management framework, including the significant policies and practices employed to manage risks in Citigroup s businesses, as well as the overall adequacy of the Risk Management function. The Committee s role is one of oversight, recognizing that Management is responsible for executing Citigroup s risk management and related Treasury policies. While the Committee has the responsibilities and powers set forth in this Charter, Management is responsible for designing, implementing and maintaining an effective risk program. Line business managers are responsible for managing risks in the areas for which they are responsible. In addition, Citigroup s Chief Risk Officer ( CRO ) manages Citigroup s credit, market and operational risks on a consolidated basis under Citigroup s risk management framework, provides overall leadership for Citigroup s risk management framework, independent Risk Management function and risk governance processes, including risk measurement, risk monitoring, risk control or mitigation, and risk reporting. Membership The Committee will consist of at least three non-management members of the Board of Directors, at least one of whom shall have experience in identifying, assessing, and managing risk exposures of large, complex financial firms. The Chair of the Committee shall meet the independence requirements contained in Regulation YY (12 CFR Part 252). The members of the Committee and the Committee Chair shall be appointed by, and may be removed by, the Board. Committee membership shall be rotated periodically. The Committee Chair shall be rotated periodically. 1
2 Authority In furtherance of its duties, the Committee shall have direct access to, and receive regular reports from, Management, including the CRO, and shall be provided by Citigroup with any information it requests relating to its responsibilities. The Committee shall have the power to conduct or authorize investigations into any matter within its scope of responsibilities, and to engage independent professional advisors as it considers appropriate. The Committee may form and delegate authority to subcommittees, comprised of one or more members of the Committee, as necessary or appropriate. Each subcommittee shall have the full power and authority of the Committee. The Committee is empowered to approve and amend policies and programs falling under its purview, except for policies and programs that the Board has reserved its authority to review and approve. Duties and Responsibilities The Committee shall have the following duties and responsibilities: Meetings and Access Meet as often as it determines, but not less frequently than quarterly. Periodically meet separately with Management, the Citigroup CRO, and the Global Head of FCR. Regularly report to the Board on the Committee s activities. Annually review and report to the Board on its own performance. Review and assess the adequacy of this Charter annually and recommend any proposed changes to the Board for approval. Oversight of Overall Risk Management The Committee has the authority to conduct or authorize reviews into any matters within its scope of responsibility. The Committee, to the extent it deems necessary or appropriate, will carry out the following responsibilities: Review Citigroup s risk appetite framework, including applicable thresholds, and recommend approval to the Board; and review quarterly Citigroup s risk appetite usage against the established thresholds. Review and approve Citigroup s key risk policies on the establishment of risk limits and receive reports on Citigroup s adherence to significant limits. 2
3 Review and make recommendations to the Board with respect to the Board s annual approval of Citigroup s Liquidity Risk Management Policy (the LRMP ). Receive reports from, review with, and provide feedback to, Management on the categories of risk Citigroup faces, including credit, market (including funding, liquidity and price risk components), and operational risk, the exposures in each category, significant concentrations within those risk categories, the metrics used to monitor the exposures and Management s views on the acceptable and appropriate levels of those risk exposures. Review Citigroup s credit, market (including funding, liquidity and price risk components), and operational risk management frameworks, including significant policies, processes and systems that Management uses to manage risk exposures, as well as risk measurement methodologies and approaches to stress testing. Evaluate the adequacy of the Risk Management function, and the qualifications and background of selected senior risk officers. Review the qualifications of the senior-level staff of the Risk Management function, and review the adequacy of the staffing of the function to perform its role in appropriate depth and frequency. Review the independence and authority of the Risk Management function. Review Citigroup s Risk Capital Framework (credit, market and operational risks), including significant inputs and assumptions. Receive information from the CRO, the Chief Compliance Officer, the Chief Auditor, the Chief Financial Officer, the Treasurer, the General Counsel, others in Management, independent auditors, regulators and outside experts as appropriate regarding matters related to risk management and the Risk Management function. Review and approve Citi s Recovery Plan annually. In the event of a significant stress event, receive reports from Citi s Recovery Planning Committee concerning the potential impact of a crisis on Citi s businesses and review the recovery options to be pursued by Management. In consultation with the Audit Committee, review and discuss with Management, at least annually: o the key guidelines and policies governing Citigroup s significant processes for risk assessment and risk management; and 3
4 o Citigroup s major financial risk exposures and the steps Management has taken to monitor and control such exposures. Review the adequacy and frequency of risk reporting to the Board. Review and approve the Citigroup Risk Management Charter. Perform other activities related to this charter as requested by the Board. Oversight of Market Risk and Risks Related to Capital Management Consistent with its oversight responsibilities concerning market risk, including funding and liquidity risk and price risk, and risks related to capital management, the Committee will: Review Citigroup s balance sheet, capital, funding, interest rate and liquidity management framework, including significant policies, processes, and systems that Management uses to manage exposures. Review reports from Management concerning Citigroup s balance sheet structure including management of the Company s funding profile. Review reports from Management concerning Citigroup s liquidity, deposit raising, and funding activities and metrics and, if applicable, their sufficiency relative to Management s standards. Review and approve annually, and whenever material revisions are made, Management s Contingency Funding Plan. Review Management s progress in developing Citigroup s Comprehensive Capital Analysis and Review ( CCAR ) submission to the Federal Reserve Board. Review reports from Management concerning Citigroup s regulatory capital levels and capital structure and metrics, as well as sufficiency relative to Management s and/or regulatory standards. Review and make recommendations to the Board with respect to the Board s annual approval of the Omnibus Funding Resolutions. Review capital contributions that require notification to the Board pursuant to Citigroup s Major Expenditure Program Limits of Authority. Review and make recommendations to the Board with respect to issuances of Citigroup s common stock, preferred stock and securities 4
5 convertible into or exchangeable for Citigroup s common stock and preferred stock. Review and make recommendations to the Board with respect to dividends on Citigroup s common stock and preferred stock, unless the proposed dividend is under review at another Committee of the Board or the Board itself. Review and make recommendations to the Board with respect to open market repurchases of Citigroup s common stock. Oversight of FCR Credit Review Function Review and approve the appointment and replacement of the Global Head of FCR who shall report directly to the Committee; approve the Global Head of FCR s administrative reporting line to the Citigroup Chief Credit Officer; and approve the Global Head of FCR s base compensation, adjustments and incentive compensation. Review and approve the Fundamental Credit Review Charter annually. Review and approve the FCR Coverage Plan, including quarterly updates, any material changes to the plan, and its annual budget. Review and discuss any significant FCR findings that have been reported to management, management s responses, and the progress of the related corrective action plans. Review and evaluate the adequacy of the work performed by the Global Head of FCR and FCR, and ensure that FCR is independent, has unrestricted access to the Committee, and has adequate resources to fulfill its duties, including implementation of the FCR Coverage Plan. Receive quarterly reports from the Global Head of FCR on the results of FCR activities or communications of other matters that the Global Head of FCR determines are necessary, including private meetings with the Global Head of FCR without management present. Oversight of CRO The CRO shall have a direct reporting line to the Committee (the Committee Reporting Line ) and to the Chief Executive Officer (the CEO ) of Citigroup (the Executive Reporting Line ). 5
6 Other Risk Management Responsibilities Receive biennial reports from Management on clearing risk (including Automated Clearing House lines). Receive annual updates from Management on significant global model risk, from individual models and in the aggregate. The Committee will share information with the Audit Committee of the Board of Directors as necessary and appropriate to permit the Audit Committee to carry out its statutory, regulatory and other responsibilities. The Committee will receive summaries of regulatory examination reports pertaining to matters that are within the purview of the Committee and Management s responses thereto. The Committee will, on behalf of the Board, carry out the governance responsibilities of the Board under the Volcker Rule and its promulgating regulations, including reviewing Management s periodic assessment of the effectiveness of Citigroup s Volcker Rule compliance program. 6
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