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Citi Group Credit Portfolio Officer - VP Hybrid 
United States, New York 
564264006

09.07.2024


Responsibilities:

  • Support key team deliveries such as weekly, monthly and quarterly updates to BIR CRO and senior risk leadership (e.g. such as the State of Risk submission for BIR)
  • Review key BIR reports to ensure they remain fit for purpose, while also tracking key portfolio movements and risk developments
  • Engage and support work with DART to improve portfolio reporting and support any optimization work as relevant
  • Support and help develop portfolio analytics and drive insights through regular analysis of the portfolio
  • Work on the remediation of any identified internal or regulatory issues as needed that the team may be required to support
  • Work closely with SMEs across 1st and 2nd LoD to help identify, measure, monitor and report on risks to the portfolio including supporting the BIR CRO as needed
  • Support the BIR CAO and Chief of Staff (CoS) on any other deliverables

Qualifications:

  • 6-10 years of experience in credit risk management experience in the financial services industry
  • Good knowledge of wholesale & counterparty credit products & frameworks from a 2LoD perspective, and understanding data behind them
  • Ability to interpret analysis & data to convey insights in simple terms for senior audiences; view data holistically and remain detail oriented to synthesize, prioritize and deliver results with urgency
  • Good working knowledge of analytical tools such as Tableau and ability to work with large data sets
  • Strong knowledge of Microsoft Office products – ability to create Board and senior management quality drafts of updates, presentations etc.
  • Understanding of credit portfolio management concepts (e.g. portfolio limits, understanding of concentration risks across country, sector, etc.)
  • Knowledge of stress testing frameworks, understanding of quantitative & analytical tools, and methods used in the design of stress testing models for use in loan and CCR portfolios
  • Consistently demonstrate clear and concise written and verbal communication
  • Demonstrated work ethic and influencing skills, and working closely with risk leadership

Education:

  • Bachelor's degree/University degree or equivalent experience
  • Master's degree preferred
Risk ManagementCredit & Portfolio Risk Management

Full timeGetzville New York United States$92,000.00 - $138,000.00


Anticipated Posting Close Date:

Jul 10, 2024

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