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By joining Citi, you will become part of a global organisation whose mission is to serve as a trusted partner to our clients by responsibly providing financial services that enable growth and economic progress.
Citi Treasury is looking for an experienced analyst to support Treasury activities in Citigroup Global Markets Europe (CGME). This role is responsible to support and part of the Corporate Treasury and will perform a wide range of the Corporate Treasury responsibilities to deliver effective liquidity, and Non-trading book market risk management. The successful candidate would gain knowledge on German local regulatory requirements, as well as European Banking Authorities guidelines and regulations, in addition to and Citi internal liquidity guidelines. The role would contribute to safeguarding liquidity ratios, regulatory submission, and monitoring of key metrics. Working with other members within the team, the role has a focus on Balance Sheet and Liquidity Management.
This role resides in Treasury, Finance in Budapest. Treasury manages entity’s liquidity risk, non-trading book market exposure, and plans for contingency funding, Recovery and Resolution Planning funding actions and management.
What you’ll do
Actively contribute to liquidity and non-trading market risk management and work in partnerships with FinCRO and Liquidity Management (formerly known as Global Liquidity Management)
Learn, adopt and advise on procedures to enhance reporting and decision making in a given subject area and integrating with other team members to accomplish these plans
Work closely with other treasury members to understand internal and external metric drivers, High Quality Liquidity Asset framework, and any key deliverables required
Gain exposure on markets products and their dynamics on balance sheet, liquidity, and non-trading market risk impacts
Contributes to the liquidity and balance sheet management of a broker-dealer entity
Take part in the regulatory submission exercises and being a key member in the control framework of the entities
What we’ll need from you
5+ years of experience in an international environment at Treasury and/or Finance functions
University BA/MSc degree desirable in the field of Finance or Economics
Excellent written and verbal communication skills are imperative (i.e., ability to make complex subjects easily digestible for senior management)
Fluent English language skills
Critical Thinking: leverage analytics, benchmarking, and insights to generate meaningful solutions, and connecting dots
Strong presentation skills coupled with proven PowerPoint and Excel skills
Able to deliver results and meet objectives within a defined time frame
Ability to take decision and/or escalate when appropriate to deliver results and meet objectives
By joining Citi Hungary, you will not only be part of a business casual workplace with a hybrid working model (up to 2 days working at home per week), but also receive a competitive compensation package and enjoy a whole host of additional benefits that support you (and your family) to be well, live well and save well:
Cafeteria Program
Home Office Allowance (for colleagues working in hybrid work models)
Paid Parental Leave Program (maternity 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 you in managing work - life balance
Career progression opportunities across geographies and business lines
Socially active employee communities with diverse networking opportunities
Time Type:
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