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Citi Group Risk Policy Sr Group Manager Recovery Strategy -Hybrid 
United States, Illinois 
118890677

25.03.2025

Responsibilities:

  • Manage a team of SVPs and managers in the US and India
  • Optimizing existing late-stage collections and recovery strategies pertaining to third party agency placements, attorney placements, internal recoveries, and asset sales to maximize recovery benefits
  • Working across Collections, Legal, Operations, Compliance, and Operations peer groups to optimize full end-to-end recovery life cycle of accounts from both a lifetime liquidation and Net Present Value perspective
  • Representing Collections/Recovery Risk Management on inter-departmental Process Teams
  • Participating in creating system requirements for new collections and recovery strategies and represent Risk Management throughout the development life cycle of a new strategy or policy
  • Evaluating effectiveness of current collections and recovery policies and strategies
  • Making recommendations and communicating the results to senior management
  • Making significant contributions in the development of analytical tools used in the assessment of Collections and Recovery risk and policy.
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Qualifications:

  • 15+ years financial services experience including detailed credit risk experience in consumer finance area
  • Minimum 8-10 years of related analytic experience in a collections or recovery area.
  • 8+ years of managerial experience required.
  • Strong leadership required in developing/motivating the team and partnering with key stakeholders to deliver and succeed together
  • Demonstrated ability to synthesize, prioritize and drive results with a high sense of urgency
  • Strong project management ability
  • Excellent written and verbal communication
  • Experience dealing regulatory agencies and the ability to manage large and complex internal and external reviews or exams
  • 5+ years of experience in statistical analysis with working knowledge of at least one of the following statistical software packages such as SAS (preferred), SPSS, Python, Statistica, S+ or some equivalent or R/ R Studio


Education:

  • Bachelor's degree in Statistics, Economics, Engineering, Finance, Mathematics or a related quantitative field; Master's degree is highly desirable

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

Risk ManagementRisk Framework and Policy

Full timeWilmington Delaware United States$170,000.00 - $300,000.00


Anticipated Posting Close Date:

Mar 18, 2025

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