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Citi Group Assessment & Design Sr Analyst - C12 SINGAPORE 
Singapore, Singapore 
393991127

Yesterday
AtCiti, we get to connect millions of people across hundreds of cities and countries every day. And we've been doing it for more than 200 years. We do this through our unparalleled global network. We provide a broad range of financial services and products to our clients – whether they be consumers, corporations, governments or institutions – to help them meet their biggest opportunities and face the world's toughest challenges.
  • Citi provides programs and services for your physical and mental well-being including access to telehealth options, health advocates, confidential counseling and more. Coverage varies by country
  • We empower our employees to manage their financial well-being and help them plan for the future

As a First Line of Defense, you will need to build trusted relationships with key stakeholders including Complaints Management Team, Frontline staff, process owners, control colleagues as well as Second and Third Line partners.

Responsibilities:

  • Regular coordination with stakeholders providing inputs for internal and regulatory scorecards such as surveillance for consolidation of score card results and grades.
  • Ensure accuracy and completeness of grading and scorecard based on consolidated inputs prior to submission.
  • Prepare regulatory reporting templates, scorecard and trend analyses for senior management and board of directors on relevant governance forums or meetings.
  • End-to-end handling of customer surveys, including conduct of the survey, review of responses for closure and/or corrective actions and prepare management updates.
  • Supporting review and controls development for new Investment and Insurance related new products.
  • Provide advice and address queries in relating to Investment and Insurance related control activities from frontline staff, regional and external stakeholders in capacity as Subject Matter Expert.
  • Support reviews on Escalation and Issue Management for the Client Advisory team.
  • Support the coordination and preparation for relevant internal/external audits, compliance and regulatory reviews with internal stakeholders and reviewers.
  • Review and investigate outliers for relevant Digital Monitoring Tools.
  • Support, prepare and coordinate relevant annual and ad-hoc regulatory reporting to the MAS.
  • Support Cross Border Activity Policy related controls implementation and ongoing monitoring activities.

Qualifications:

  • At least 5 years of work experience in a control / compliance / audit / investment product role in a financial institution.
  • Strong analytical and problem solving skills
  • Knowledgeable about financial products, financial advisory, legal and regulatory environment.
  • Excellent presentation and communication skills in English, both oral and written, with the ability to articulate and present advice and address queries to stakeholders effectively and concisely.
  • Solid organizational skills including attention to detail and multi-tasking skills
  • Strong working knowledge of Microsoft Office.
  • Ability to organize and prioritize multiple deliverables while working with minimal supervision in a large, global corporate environment
  • Resourceful, meticulous and detail oriented
  • Ability to work independently, interface and execute with a sense of urgency and to deliver on tasks effectively and efficiently within timelines.
  • Effective team player and ability to work with different stakeholders with strong communications and confidently.
  • Broad-minded, with a capacity to learn, apply knowledge and bring improvement to the organization.

Education:

Bachelor's/University degree or equivalent experience

Controls Governance & OversightAssessment & Design


Time Type:

Full time

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