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Citi Group Inter-Affiliate Credit Risk Portfolio Manager VP 
United States, New York 
131350534

25.06.2024

Key Responsibilities:

• Manage Inter-Affiliate relationships and maintain an in-depth understanding of the Firm's Global Booking Model

• Coordinated across the first and second lines of defense to ensure a robust and comprehensive risk management framework is established across multiple stakeholders

• Ensure Citi's use of Inter-Affiliates is in line with policy and regulatory guidance; specific aspects include: strategy, governance, metrics and reporting, inventory and segmentation, risk assessments, technology and data

• Partner with technology SMEs and direct project support resources to ensure efficient resolution of risk valuation issues in accordance with Citi's commitment to management inter-affiliate exposure

• Coordinate with legal entity risk management and other key stakeholders across the firm in order to establish and renew credit limits on an annual basis

• Partner with risk management colleagues globally to ensure inter-affiliate risk management requirements are firmly rooted in the global risk management framework across all regions, and legal entities

• Develop credit profiles for affiliates based on stand-alone financial disclosures

• Manage, track, and coordinate data and structural remediation projects regarding inter-affiliate risk management

• Develop a high degree of technical and policy understanding with respect to business credit processing.

• Develop and maintain effective working relationships with colleagues in other areas of Risk, Finance, Treasury, Legal Vehicle management, and the Business

Qualifications:

• 6+ Years of business experience; preferably in Credit Risk, Audit, Compliance, or Finance

• Credit Officer

• Working Knowledge of pertinent regulations including Reg W, Reg K, MRNCCD, Section 165(d) of the Dodd-Frank Wall Street Reform and Consumer Protection Act, and FDIC’s Covered Insured Depository Institution Response requirements.

• In depth knowledge of Citi’s corporate structure

• Working knowledge of Citi’s Resolution and Recovery plan to include in depth knowledge of Citi’s Material Legal Entity (MLE) structure.

• Familiarity with CitiRisk and other internal technology platforms preferred.

• Knowledge of a wide variety of capital markets products is a must

• Working knowledge of credit risk valuation and calculations preferred

• Project Management skills

• Self-starter able to take on projects with minimal guidance or supervision.

• Strong presentation skills

• Ability to work in a team environment or as an individual

Education

  • Bachelor's degree/University degree or equivalent experience
  • Master's degree preferred
Risk ManagementCredit & Portfolio Risk Management

Full timeGetzville New York United States$92,000.00 - $138,000.00



Anticipated Posting Close Date:

May 07, 2024

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