Basic knowledge of Liquidity and Collateral Management to understand what are the various underlying data that will be used for business models and reporting
Building of robust control processes to ensure project delivers uniform and good quality data. Having good knowledge on data governance to follow data lineage, data tracing, data quality etc
Ability to analyze data gaps between various front office source systems providing data for building liquidity models with Citi’s books and records
Developing detailed requirements, working through solutions and managing execution and rollout of these solutions, in the context of an overall consistent global platform
The project involves work on the existing tactical tool, as well as a focus on moving this to the long-term strategic application
Holding requirement gathering sessions, gaining consensus and creation of meeting minutes.
Translating business requirements into Business and Technical documents.
Validation that the application meets the project specification and clients expectations.
Providing detailed analysis and documentation of processes and flows where necessary.
Proficiency in Excel will be required for data analysis and model building. It is a must have.
Ability to create Power Point presentations for senior management documenting the vision and current project status
Mentoring and coaching more junior members of the team
SQL knowledge is required
The role is expected to work closely with:
Various business stakeholders of FRM, Treasury, Ops etc to understand business requirements on data services
SME's and stakeholders to manage data governance
Other technical and analyst team members present globally to ensure a coherent and robust solution environment.
Other interfaced systems which are required for the overall front to back to operate correctly. To understand data sources/issues, and to integrate appropriate tactical and strategic initiatives into the technical roadmap.