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Citi Group Securities & Derivatives Sr Manager - VP Hybrid 
United States, New Jersey, Jersey City 
395228604

Today

Organization Overview:

Our roles entail ensuring we operate in a robust control environment, whilst in a fast-paced workplace. We comply with global regulations and internal policies and adopt a proactive approach to identifying opportunities to reduce risk through the continuous evaluation of our controls; to protect our clients, the firm, and our reputation.

We work closely with our external global peers, partners, and regulators, and play an integral part in leading an agenda at the forefront to optimize and streamline processes and drive strategy across our industry.

Margin & Collateral Optimisation within Markets Operations helps mitigate risk and comply with regulatory requirements, whilst delivering best-in-class capabilities in margin and collateral management, inventory management, risk management and collateral efficiency. The team supports global Markets businesses working across products, regions, and divisions, with a broad range of stakeholders.

Key Responsibilities:

  • Operate as a senior member of the Product & Business Development team . Operating as a point-person for the group with deep product and/or service subject matter expertise, with knowledge of front-to-back flows, risk and regulations.
  • Product Specialist: perform product development and strategy for a specific product line and/or service ensuring consumer expectations are met or exceeded.
  • Lead development initiatives : ensuring comprehensive requirements are defined in line with the overall product/service design. Drive testing and delivery.
  • Ensure product and/or service developments are well executed: delivered on time and within budget.
  • Work effectively with Citi and industry stakeholders : Partnering closely with key groups such as Technology, Markets business, Operations, Risk other supporting functional groups and vendors.
  • Provides evaluative judgment based on analysis of information in complicated, unique and dynamic situations; draws on diverse range of internal and external sources
  • Demonstrate deep knowledge of margin and/or collateral optimization.

People & Culture Agenda:

  • Champion diversity and inclusion, supporting a work environment that allows our People to thrive and excel.
  • Promote a culture of continuous improvement, cultivating a robust service and control environment.

Skills & Qualifications

  • BA/BS degree preferred.
  • 7+ years’ experience in the following: margin and collateral, with a strong appreciation of margin regulations, securities products, practices and risks, and/or product/service design, execution and delivery of change projects. Preferably at large financial services firm.
  • Strong communicator who is articulate and concise demonstrated success interacting with business, operations and technology stakeholders.
  • Innovative, flexible, collaborative, and proactive; can positively and productively add product impact to both strategic and tactical technology.
  • Thinks logically and is good at problem solving. Result orientated.
  • Able to write clearly and concisely. To present ideas and proposals to senior decision makers without technical jargon.
  • Demonstrate sound judgement and a strong risk management mindset, demonstrated through implementing sound controls and processes.
  • Ability to establish and build trust with professionals throughout the business and other stakeholder groups.
  • Awareness of best practice perspectives, maintaining a balanced and fresh viewpoint.
Operations - Transaction ServicesSecurities and Derivatives Processing

Full timeJersey City New Jersey United States$129,840.00 - $194,760.00



Anticipated Posting Close Date:

Dec 20, 2024

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