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דרושים Institutional Credit Management - Structured Trade Underwriter Svp ב-Citi Group ב-Malaysia, George Town

מצאו את ההתאמה המושלמת עבורכם עם אקספוינט! חפשו הזדמנויות עבודה בתור Institutional Credit Management - Structured Trade Underwriter Svp ב-Malaysia, George Town והצטרפו לרשת החברות המובילות בתעשיית ההייטק, כמו Citi Group. הירשמו עכשיו ומצאו את עבודת החלומות שלך עם אקספוינט!
חברה (1)
אופי המשרה
קטגוריות תפקיד
שם תפקיד (1)
Malaysia
George Town
נמצאו 161 משרות
28.05.2025
CG

Citi Group Underwriter - C12 MUMBAI Malaysia, Penang, George Town

Limitless High-tech career opportunities - Expoint
תיאור:

The Infrastructure Finance (IF) and Clean Energy Finance (CEF) Underwriter will cover large anddeliver best-in-class credit risk analysis, monitoring and credit administration as a partner to Riskacross ICM.
The Analyst position is responsible for a portfolio of IF and CEF Relationships, owning the Credit
Risk Analysis for those relationships, and being responsible for the continuous monitoring of that
portfolio. That includes the production of Annual Reviews, Quarterly Reviews, and the support to
Ad-Hoc Transactions and Portfolio & Industry Reviews and Stress Testing.
The Analyst is expected to have a deep understanding of credit risk, of Citi´s internal policies and
procedures, and of being knowledgeable about the industry fundamentals the portfolio belongs to.thoughtful conversations with Risk and Banking partners.
Key Responsibilities:
 Assess the credit and financial strength of Citi’s IF and CEF clients by performing
fundamental credit analysis of counterparties using both quantitative and qualitative
factors. These include performing detailed financial analysis, identifying the strengths and
prevailing risk factors and rendering a final credit recommendation
 Complete Credit Analysis Write-up Memos and Final Obligor Risk Ratings of Citi’s
counterparties based on independent assessment and judgement completed on the due
diligence of the client and industry knowledge to provide appropriate extensions of credit
remaining within Risk appetite
 Continuous monitoring of the covered portfolio, including following industry trends,and Banking partners
 Running financial modeling of the IF and CEF clients to provide a view of projected cash
flow profile, including running various stress sensitivities, and Enterprise Valuation
 Reviewing and providing recommendation on the risk rating across this sector
 Maintain compliance with bank credit policies/practices and regulatory policies to ensureauditors.
Qualifications:
Risk & Credit Underwriting:
 Well developed analytical skills, including an understanding of key financial statements and
accounting with the ability to identify root causes and trends and anticipate issues
 Forms independent opinions on credit and recognizes emerging risks
 Demonstrates advanced knowledge of financial statements and GAAP accounting or
similar governance relating to country of operation
 Solid understanding of Credit Policy and procedures; Proactively reviews Citi policies and
procedures to benchmark against transactions and work submitted
 Demonstrates and executes the ability to identify potential risk issues that need escalation
and escalates them promptly
Leadership:eager to do more Demonstrates professionalism by being reliable, actively contributing in meetings, asking
questions and challenging ideas
Competencies:
 Highly e􀆯ective interpersonal skills, with the ability to build relationships
 Solid organizational skills with ability and willingness to work under pressure and manages
time and priorities e􀆯ectively
 Exceptional written and verbal communication skills, with the ability to communicate
clearly and concisely to audiences of varying levels of seniority
 Advanced Microsoft O􀆯ice (Word, Excel, and PowerPoint) skills
 Advanced experience with Financial Modeling
Education:

  • MBA (Finance), CA or CFA


This job description provides a high-level review of the types of work performed. Other job-related duties may be assigned as required.

Risk ManagementCredit Decisions


Time Type:

Full time

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28.05.2025
CG

Citi Group Project Management Lead - C13 MUMBAI Malaysia, Penang, George Town

Limitless High-tech career opportunities - Expoint
תיאור:

Product Control Analyst

Product Control, the largest department in Finance, is primarily responsible for controlling daily profit and loss reporting, price verification and trading activity for the Institutional Clients Group. We work closely across functions on a daily basis (including the Trading desks, Risk Management, Operations, and other areas of Finance) and develop a deep understanding of the products traded, along with the associated market risks and accounting complexities.

Responsibilities:

  • Be responsible for the end-to-end Product Control process, including daily P&L preparation and related activities: Review and analyse new trades, associated risks and the P&L generated, also understand and analyse the P&L coming from market moves on the existing portfolio of trades.
  • Perform Independent Price Verification (IPV), calculate or validate Valuation Adjustments, and perform Fair Value Levelling (to classify the inventory in scope by observability of the external inputs used for price verification)
  • Work closely with various areas of the Finance department, liaising with the Trading Desk, Risk Management, Operations, Middle Office and IT teams
  • Use effective escalation to ensure issues are highlighted in a timely manner. Focus on recurring issues and drive through enhancement projects and systems fixes

Ideal background:

  • A university or college degree in Finance/Accounting is an advantage but not a must as we are open to other majors.
  • Good command of spoken and written English
  • Confident analytical and communication skills
  • Strong Microsoft Excel skills. (Training will be provided on other in-house and industry standard systems used in this position.)
  • Knowledge of or demonstrated interest in financial products is an advantage.

We are a development-focused organization. The above qualifications and skills are considered as primary assets for the position – but we do not pursue perfectionism: we look for capable colleagues and help them grow to excellence in their fields and positions.

  • Competitive compensation package with a wide range of benefits:
    • Cafeteria Program
    • Home Office Allowance - for colleagues working in hybrid work model
    • Paid Parental Leave Program - maternity leave and paternity leave
    • Private Medical Care Program and onsite medical rooms at our offices
    • Pension Plan Contribution to voluntary pension fund
    • Group Life Insurance
    • Employee Assistance Program
  • Access to a wide variety of learning and development programs, online course libraries and upskilling platforms, such as Udemy and Degreed
  • Flexible work arrangements to support colleagues’ in managing work - life balance
  • Continuous career progression opportunities across geographies and business lines
  • Inclusive and friendly corporate culture
  • Socially active employee communities with diverse networking opportunities
Product Control


Time Type:

Full time

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28.05.2025
CG

Citi Group Underwriter - C11 MUMBAI Malaysia, Penang, George Town

Limitless High-tech career opportunities - Expoint
תיאור:

The Infrastructure Finance (IF) and Clean Energy Finance (CEF) Underwriter will cover large anddeliver best-in-class credit risk analysis, monitoring and credit administration as a partner to Riskacross ICM.
The Analyst position is responsible for a portfolio of IF and CEF Relationships, owning the Credit
Risk Analysis for those relationships, and being responsible for the continuous monitoring of that
portfolio. That includes the production of Annual Reviews, Quarterly Reviews, and the support to
Ad-Hoc Transactions and Portfolio & Industry Reviews and Stress Testing.
The Analyst is expected to have a deep understanding of credit risk, of Citi´s internal policies and
procedures, and of being knowledgeable about the industry fundamentals the portfolio belongs to.thoughtful conversations with Risk and Banking partners.
Key Responsibilities:
 Assess the credit and financial strength of Citi’s IF and CEF clients by performing
fundamental credit analysis of counterparties using both quantitative and qualitative
factors. These include performing detailed financial analysis, identifying the strengths and
prevailing risk factors and rendering a final credit recommendation
 Complete Credit Analysis Write-up Memos and Final Obligor Risk Ratings of Citi’s
counterparties based on independent assessment and judgement completed on the due
diligence of the client and industry knowledge to provide appropriate extensions of credit
remaining within Risk appetite
 Continuous monitoring of the covered portfolio, including following industry trends,and Banking partners
 Running financial modeling of the IF and CEF clients to provide a view of projected cash
flow profile, including running various stress sensitivities, and Enterprise Valuation
 Reviewing and providing recommendation on the risk rating across this sector
 Maintain compliance with bank credit policies/practices and regulatory policies to ensureauditors.
Qualifications:
Risk & Credit Underwriting:
 Well developed analytical skills, including an understanding of key financial statements and
accounting with the ability to identify root causes and trends and anticipate issues
 Forms independent opinions on credit and recognizes emerging risks
 Demonstrates advanced knowledge of financial statements and GAAP accounting or
similar governance relating to country of operation
 Solid understanding of Credit Policy and procedures; Proactively reviews Citi policies and
procedures to benchmark against transactions and work submitted
 Demonstrates and executes the ability to identify potential risk issues that need escalation
and escalates them promptly
Leadership:eager to do more Demonstrates professionalism by being reliable, actively contributing in meetings, asking
questions and challenging ideas
Competencies:
 Highly e􀆯ective interpersonal skills, with the ability to build relationships
 Solid organizational skills with ability and willingness to work under pressure and manages
time and priorities e􀆯ectively
 Exceptional written and verbal communication skills, with the ability to communicate
clearly and concisely to audiences of varying levels of seniority
 Advanced Microsoft O􀆯ice (Word, Excel, and PowerPoint) skills
 Advanced experience with Financial Modeling

Education:

  • MBA (Finance), CA or CFA
Risk ManagementCredit Decisions


Time Type:

Full time

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28.05.2025
CG

Citi Group Trade Surveillance Intermediate Analyst - C11 MUMBAI Malaysia, Penang, George Town

Limitless High-tech career opportunities - Expoint
תיאור:

Responsibilities:

  • Technical knowledge of Front to Back Architecture involving Workflow, Web based UI, Java Middleware, Messaging (MQ, Kafka, AWS, REST Webservices, ECS), Oracle Database
  • Lead integration of functions to meet goals, deploy new products, and enhance processes
  • Analyze complex business processes, system processes, and industry standards to define and develop solutions to high level problems
  • Provide expertise in area of advanced knowledge of applications programming and plan assignments involving large budgets, cross functional project, or multiple projects
  • Develop application methodologies and standards for program analysis, design, coding, testing, debugging, and implementation
  • Utilize advanced knowledge of supported main system flows and comprehensive knowledge of multiple areas to achieve technology goals
  • Consult with end users to identify system function specifications and incorporate into overall system design
  • Allocate work, and act as an advisor/coach developers, analysts, and new team members
  • Influence and negotiate with senior leaders and communicate with external parties
  • Appropriately assess risk when business decisions are made, demonstrating particular consideration for the firm's reputation and safeguarding Citigroup, its clients and assets, by driving compliance with applicable laws, rules and regulations, adhering to Policy, applying sound ethical judgment regarding personal behavior, conduct and business practices, and escalating, managing and reporting control issues with transparency.

Qualifications:

  • 10+ years of relevant experience
  • Experience in applications development,
  • Experience in Resource and Project management (technical)
  • Able to architect new solutions as part of technical manager role
  • Experience managing global technology teams including BAs
  • Working knowledge of industry practices and standards (knowledge/work ex in Financial industry and Reference data a plus)
  • Consistently demonstrates clear and concise written and verbal communication

Education

  • Bachelor’s degree/University degree or equivalent experience
  • Master’s degree preferred

Full timeIrving Texas United States$156,160.00 - $234,240.00


Anticipated Posting Close Date:

May 20, 2025

View Citi’s and the poster.

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27.05.2025
CG

Citi Group SVP Capital Controllers Group - Derivative Lead Hybrid Malaysia, Penang, George Town

Limitless High-tech career opportunities - Expoint
תיאור:

The Finance Solutions Group Manager is accountable for management of complex/critical/large professional disciplinary areas. Leads and directs a team of professionals. Requires a comprehensive understanding of multiple areas within a function and how they interact in order to achieve the objectives of the function. Applies in-depth understanding of the business impact of technical contributions. Strong commercial awareness is a necessity. Generally accountable for delivery of a full range of services to one or more businesses/ geographic regions. Excellent communication skills required in order to negotiate internally, often at a senior level. Some external communication may be necessary. Accountable for the end results of an area. Exercises control over resources, policy formulation and planning. Primarily affects a sub-function. Involved in short- to medium-term planning of actions and resources for own area. Full management responsibility of a team or multiple teams, including management of people, budget and planning, to include performance evaluation, compensation, hiring, disciplinary actions and terminations and budget approval.Responsibilities:

  • Contributes to the design, roll-out and governance of financial solutions, including:
  • Participates in formulating and setting strategic direction for the process, organization and architecture covering Finance across Citi businesses, products, functions and locations
  • Assists in setting business and information architecture standards for Finance
  • Plays a part in settling and operating necessary forums and frameworks to establish and govern policies and starts for global Finance processes
  • Participates in assessing and incorporating changing business, regulatory and market information needs into finance processes and applications
  • Manages complex/critical/large professional disciplinary areas.
  • Leads and directs a team of professionals.
  • Applies in-depth knowledge of the business impact of process design and technical contributions.
  • Accountable for delivery of a full range of services to one or more businesses/ geographic regions.
  • Regularly interacts with peers within the firm and externally, including regulators and professional organizations.
  • Provides advice to internal clients on the implications of business trends, issues, operating environment changes and firm or business unit strategy.
  • Performs other duties and functions as assigned.
  • Appropriately assess risk when business decisions are made, demonstrating particular consideration for the firm's reputation and safeguarding Citigroup, its clients and assets, by driving compliance with applicable laws, rules and regulations, adhering to Policy, applying sound ethical judgment regarding personal behavior, conduct and business practices, and escalating, managing and reporting control issues with transparency, as well as effectively supervise the activity of others and create accountability with those who fail to maintain these standards.

Qualifications:

  • 10+ years of relevant experience, within the financial services industry highly preferred
  • Requires a comprehensive knowledge of multiple areas within a function and how they interact in order to achieve the goals of the function.
  • Requires communication and diplomacy skills in order to guide and influence others.
  • Experience and demonstrated ability to manage competing priorities in a complex and dynamic environment
  • Self-motivated with the ability to make decisions in the absence of detailed instructions.
  • Proficient Microsoft Office skills
  • In depth knowledge of banking products / systems highly preferred.
  • CPA preferred

Education:

  • Bachelors degree in finance, accounting, or other business related field of study
  • Masters degree preferred

This role is focused on the strategic transformation and remediation of core issue plaguing the Derivatives RWA/SLE process in order to address regulatory findings and consent order. The SVP role is for the derivatives lead managing all aspects of the remediation including root cause analysis, devising a solution, defining the remedial actions, managing the change in technology system, managing the change in process with updated roles and responsibilities, and working with independent testing/control groups to ratify the change. Sound knowledge of SA-CCR calculations is required for this role.

Fin Solutions Dsgn & Implement


Time Type:

Full time

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27.05.2025
CG

Citi Group Vice President - Credit Product Strategy & Plan Lead– C13 Mu... Malaysia, Penang, George Town

Limitless High-tech career opportunities - Expoint
תיאור:

Whether you’re at the start of your career or looking to discover your next adventure, your story begins here. At Citi, you’ll have the opportunity to expand your skills and make a difference at one of the world’s most global banks. We’re fully committed to supporting your growth and development from the start with extensive on-the-job training and exposure to senior leaders, as well as more traditional learning. You’ll also have the chance to give back and make a positive impact where we live and work through volunteerism.

:

  • Accountability for effective Issue Resolution & Risk Mitigation by providing design and testing support to resolve MRAs/CAPs (Corrective Action Plans) and SIIs (Self-Identified Issues) across Institutional Credit Management (ICM)

  • Support Portfolio Manager in Identification of opportunities to reduce anomalies and establish guidelines / best practices to drive operational consistency across Business Units. Improve Client experience by simplifying the implied support burdens currently borne by clients and coverage staff

  • Identification of governance mechanisms / controls to prevent recurrence of issues

  • Ensure on-time adoption and continued improvement of the Credit Risk Process Digitalization platforms in partnership with ICM Product Development, Technology, and end users across all LoBs

  • Ensure timely completion of projects within the CPSO book of work.

  • Support Portfolio Manager in Partnership and Continuous engagement with applicable regional and industry stakeholders in ICM, CB, CCB, Wealth and Risk for effective Issue resolution and Risk Mitigation

  • Identify scope to leverage new age tools (AI/ML) to optimize processes across the ICM organization

  • Ensure ongoing and timely feedback and coaching of and AVP, Associates and Senior Analysts to sustain a strong credit culture and an unwavering commitment to excellence in analysis and execution

  • Actively participate in Learning, Development and Training opportunities including instructor led courses

  • Support CPSE VoE Engagement, Belonging (DEI), and Leadership scores

  • Travel (less than 10%)

:

  • Demonstratable financial services experience, including 10-12 years in Banking or FI Industry

  • Deep knowledge of Wholesale Credit Processes and Policies spanning the Credit Risk Value Chain

  • Credit Officer (CO) or demonstrating the skills aligned with that designation

  • Excellent and thorough knowledge of Credit risk systems

  • Ability to synthetize complex information into clear, compelling presentations and well-structured analytical workbooks.

  • High awareness and adherence to the control environment

  • Strategic orientation to ensure the team continues to be positioned as a thoughtful and proactive partner in providing effective resolutions and best practices for Risk Mitigation across Business units

  • Proven culture carrier. Highly effective interpersonal skills, with the ability to build relationships and exert influence with and without direct authority

  • Strong organizational skills with ability and willingness to work under pressure and manages time and priorities effectively with little to no supervision

  • Strong written and verbal communication skills, with the ability to communicate clearly and concisely to audiences of varying levels of seniority

  • Advanced Microsoft Office (Word, Excel, and PowerPoint) skills

:

  • BA/BSc in Finance or Accounting or higher degree in Business (MBA), or CFA, or any other related subject

Take the next step in your career, apply for this role at Citi today

This job description provides a high-level review of the types of work performed. Other job-related duties may be assigned as required.

Product Management and Development

Product Strategy and Planning


Time Type:

Full time

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26.05.2025
CG

Citi Group Trade & Working Capital Ops Analyst – C09 - MUMBAI Malaysia, Penang, George Town

Limitless High-tech career opportunities - Expoint
תיאור:

Responsibilities:

  • Process all regular, restricted and legal transfers; which include processing of payments, receivables, trade transactions, liquidity flows and wholesale card activity
  • Ensure transactions are processed efficiently, act as a SME (subject matter expert) and recommend process improvements
  • Evaluate and recommend solutions to problems through data analysis, technical experience and precedent
  • Anticipate and respond to requests for deliverables with internal and external clients and vendors
  • Contribute to and collaborate with cash & trade operations projects as needed
  • Develop comprehension of how the cash & trade operations team interacts with others in accomplishing objectives
  • Appropriately assess risk when business decisions are made, demonstrating particular consideration for the firm's reputation and safeguarding Citigroup, its clients and assets, by driving compliance with applicable laws, rules and regulations, adhering to Policy, applying sound ethical judgment regarding personal behavior, conduct and business practices, and escalating, managing and reporting control issues with transparency.


Qualifications:

  • 3-4 years of previous relevant experience preferred, handling export & import transactions
  • Fundamental comprehension of financial industry regulations
  • Effective verbal and written skills
  • Effective communication and analytical skills


Education:

  • Bachelor’s/University degree or equivalent experience


This job description provides a high-level review of the types of work performed. Other job-related duties may be assigned as required.

Will be working for client delivery and transfer process.

Need to know in-depth India trade regulation since the product is very specific to India.

Must be familiar with the working process & checklist in India

Must have CITF and CDCF certification

Operations - Transaction ServicesCash Management


Time Type:

Full time

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Limitless High-tech career opportunities - Expoint
תיאור:

The Infrastructure Finance (IF) and Clean Energy Finance (CEF) Underwriter will cover large anddeliver best-in-class credit risk analysis, monitoring and credit administration as a partner to Riskacross ICM.
The Analyst position is responsible for a portfolio of IF and CEF Relationships, owning the Credit
Risk Analysis for those relationships, and being responsible for the continuous monitoring of that
portfolio. That includes the production of Annual Reviews, Quarterly Reviews, and the support to
Ad-Hoc Transactions and Portfolio & Industry Reviews and Stress Testing.
The Analyst is expected to have a deep understanding of credit risk, of Citi´s internal policies and
procedures, and of being knowledgeable about the industry fundamentals the portfolio belongs to.thoughtful conversations with Risk and Banking partners.
Key Responsibilities:
 Assess the credit and financial strength of Citi’s IF and CEF clients by performing
fundamental credit analysis of counterparties using both quantitative and qualitative
factors. These include performing detailed financial analysis, identifying the strengths and
prevailing risk factors and rendering a final credit recommendation
 Complete Credit Analysis Write-up Memos and Final Obligor Risk Ratings of Citi’s
counterparties based on independent assessment and judgement completed on the due
diligence of the client and industry knowledge to provide appropriate extensions of credit
remaining within Risk appetite
 Continuous monitoring of the covered portfolio, including following industry trends,and Banking partners
 Running financial modeling of the IF and CEF clients to provide a view of projected cash
flow profile, including running various stress sensitivities, and Enterprise Valuation
 Reviewing and providing recommendation on the risk rating across this sector
 Maintain compliance with bank credit policies/practices and regulatory policies to ensureauditors.
Qualifications:
Risk & Credit Underwriting:
 Well developed analytical skills, including an understanding of key financial statements and
accounting with the ability to identify root causes and trends and anticipate issues
 Forms independent opinions on credit and recognizes emerging risks
 Demonstrates advanced knowledge of financial statements and GAAP accounting or
similar governance relating to country of operation
 Solid understanding of Credit Policy and procedures; Proactively reviews Citi policies and
procedures to benchmark against transactions and work submitted
 Demonstrates and executes the ability to identify potential risk issues that need escalation
and escalates them promptly
Leadership:eager to do more Demonstrates professionalism by being reliable, actively contributing in meetings, asking
questions and challenging ideas
Competencies:
 Highly e􀆯ective interpersonal skills, with the ability to build relationships
 Solid organizational skills with ability and willingness to work under pressure and manages
time and priorities e􀆯ectively
 Exceptional written and verbal communication skills, with the ability to communicate
clearly and concisely to audiences of varying levels of seniority
 Advanced Microsoft O􀆯ice (Word, Excel, and PowerPoint) skills
 Advanced experience with Financial Modeling
Education:

  • MBA (Finance), CA or CFA


This job description provides a high-level review of the types of work performed. Other job-related duties may be assigned as required.

Risk ManagementCredit Decisions


Time Type:

Full time

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בואו למצוא את עבודת החלומות שלכם בהייטק עם אקספוינט. באמצעות הפלטפורמה שלנו תוכל לחפש בקלות הזדמנויות Institutional Credit Management - Structured Trade Underwriter Svp בחברת Citi Group ב-Malaysia, George Town. בין אם אתם מחפשים אתגר חדש ובין אם אתם רוצים לעבוד עם ארגון ספציפי בתפקיד מסוים, Expoint מקלה על מציאת התאמת העבודה המושלמת עבורכם. התחברו לחברות מובילות באזור שלכם עוד היום וקדמו את קריירת ההייטק שלכם! הירשמו היום ועשו את הצעד הבא במסע הקריירה שלכם בעזרת אקספוינט.