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Citi Group Liquidity Senior Analyst - C13/VP 
United States, New York, New York 
301866375

25.06.2024

The individual will work in the Liquidity Management (LM) team within Citi Treasury Global Function. The team is responsible for establishing the framework for sizing liquidity requirements, including the internal stress testing framework and interpreting regulation in conjunction with other stakeholders within and outside Citi’s Treasury function, providing liquidity oversight to Citi’s global entities, and ensuring that Citi maintains adequate liquidity appropriately positioned to meet the company’s global needs both in normal market conditions as well as during periods of stress.

Scope of Liquidity Analysis Team:

In this role, the individual will be responsible for supporting, and selectively leading, the development and ongoing execution of internal (ILST and TLST) and external (US LCR and US NSFR) liquidity metrics analytics and monitoring. In doing so, the primary focus will be to deliver timely and accurate daily, weekly, monthly, and quarterly liquidity drivers.

Additionally, the individual will also be responsible for providing support for liquidity data management and reporting automation initiatives, detailed deep dives into products and performing data analytics to support stress test assumptions. This will require strong collaboration and engagement with business partners across Treasury, Finance, Operations, and Technology functions.

Key Responsibilities:

  • In this role, the individual will be responsible for supporting, and selectively leading, the development and ongoing execution of internal (ILST and TLST) and external (US LCR and US NSFR) liquidity metrics analytics and monitoring. In doing so, the primary focus will be to deliver timely and accurate daily, weekly, monthly, and quarterly liquidity drivers.
  • In doing so, the primary focus will be to deliver timely and accurate firm-wide liquidity reporting, perform variance analysis and reconciliation,
  • Additionally, the individual will also be responsible for providing support for liquidity data management and reporting automation initiatives, detailed deep dives into products and performing data analytics to support stress test assumptions.
  • This will require strong collaboration and engagement with business partners across Treasury, Finance, Operations, and Technology functions.

Qualifications:

  • 2 - 8 years of experience in one or more of Treasury, Finance or Liquidity Management
  • Strong knowledge of the Balance sheet management, liquidity management, related regulatory requirements, and financial markets
  • Ability to work in a high-energy environment leading team with daily duties.
  • Ability to take ownership and execute on deliverables
  • Highly organized with a focus on timely completing deliverables and meeting deadlines
  • Team player with ability to work well with others
  • Strong attention to detail
  • Strong quantitative skills and advanced knowledge of Microsoft products
  • Minimum Bachelor’s degree; MBA/advanced degree is a plus
Balance Sheet Management

Full timeGetzville New York United States$100,800.00 - $151,200.00



Anticipated Posting Close Date:

May 30, 2024

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