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Citi Group Regulatory Reporting & Controls - AVP 
Singapore, Singapore 
682260505

13.08.2024

The Regulatory Operations Team is a centralized unit within SMB (Services Markets and Banking) that is responsible for the implementation and oversight of regulatory reporting, including exception management and risk mitigation across swap dealer reporting. The group is responsible for:

  • Implementation of new regulatory reporting initiatives and enhancements
  • Control and exception management on swap dealer reports
  • Industry level advocacy across multiple trade associations
  • Partnering across Markets to remediate regulatory issues

Role / Position Overview:

  • Oversee and ensure the day-to-day delivery of complete, accurate and timely reporting as defined by regulation and industry practice
  • Manage and oversee BAU processes for APAC Regulatory Reporting, ensuring all reporting is completed accurately and on time
  • Monitor daily reporting controls; identify and provide transparency into reporting issues whilst working with key stakeholders across the business and technology to remediate any gaps
  • Act as point of contact for APAC (ASIC,MAS,HKMA) Regulatory Reporting
  • Ensure Reg Ops' procedures and controls adhere to Citi’s Global Risk & Control as well as Global

Regulatory Reporting policies

  • Conduct data analysis on large data sets to identify root causes of complex issues
  • Work closely with colleagues from Operations & Technology, Compliance, Legal, Risk & Control
  • and business unit managers to ensure transparent and aligned objectives
  • Support in addressing questions arising from regulators, compliance assurance and internal audit
  • Work with the global team lead and reporting peers in the development and execution of a global book of work delivering new regulatory requirements, higher productivity stronger controls and insightful metrics
  • Drive change process by advocating for process improvements of existing processes to reduce manual touch points and increase efficacy and accuracy
  • Create, manage and present project documents (e.g. business requirements, status updates, change requests, user acceptance testing); risk & control updates and issue/event summaries to related stakeholders
  • Represent Citi in major industry forums; monitor publications from trade associations and regulators to ensure Citi remains complaints with the regulations


Candidate Requirements
Knowledge of APAC (ASIC, MAS, HKMA, JFSA) regulatory reporting
8+ years of previous financial services experience, within: regulatory reporting / capital markets middle office / OTC derivative products
Demonstrated experience in the successful implementation of projects, operational process change and improvement, preferably within capital markets operations

  • Exposure to SQL/VBA (advanced Excel) is an advantage
  • Experience in collecting, defining and documenting business and technology requirements, test plans and other project management artefacts
  • Experienced in consulting with project stakeholders, including the skills to facilitate compromises and resolve conflicting requirements.
  • Self-motivated, detail oriented well organised with strong verbal and written communication skills
  • Working knowledge of related industry practices and standards, and experience in large scale implementations
  • Experience in working across technology and business projects and managing inter-dependencies between the two
  • Proven problem-solving and decision-making skills
  • Pro-active, resilient, and tenacious
  • Ability to create and deliver presentations to senior levels of management
  • Ability to work under pressure and manage to tight deadlines or unexpected changes in expectations or requirements
Risk ManagementOperational Risk


Time Type:

Full time

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