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Citi Group Citi Treasury Investments - Balance Sheet Management Senior Analyst SVP 
United Kingdom, England, London 
785705270

28.06.2024

Role Introduction / Overview:

  • This position will join the Citi Treasury Investments (CTI) Governance and Business Initiatives team within the Finance Organisation.
  • Senior Project manager role would be responsible for managing the execution of CTI’s initiatives that focuses on balance sheet management , FX and interest rate risk management, funding, and liquidity management.

Business / Team Overview:

  • The Citi Treasury Investments group (CTI) manages over a $500 billion portfolio consisting of Issued Debt, Intercompany Borrowings & Placements, AFS/HTM Securities, and Derivatives.
  • CTI is responsible for managing central liquidity and investment portfolio, executing the foreign exchange hedge program, and providing US dollar financing to other trading desk, management of the USD interest rate risk in banking book to achieve Citi’s desired net interest position, and issuance of benchmark debt and structured notes, credit card securitizations and liability management for all capital securities issued through Citigroup and CBNA.
  • The CTI Business Initiatives team works closely with stakeholders to define, drive, and execute end-to-end process design and implementation efforts across Treasury activities, which span global Treasury groups, Finance functions and technology infrastructure partners.

Some of the key responsibilities in the role:

  • Writing / Review Business Requirements, Functional Requirements, Technology design , project plans, and lead testing execution.
  • Critical thinking and problem solving.
  • Making design and functional decision to resolve business problem and production issues.
  • Partnering with CTI desk leads and seniors across Finance and Markets for requirement analysis , status updates and issue resolution.
  • Leading steering group meetings and senior stakeholders’ meetings.
  • UAT coordination, leading UAT calls , Implementation tracking and post implementation reporting.

Development Value:

  • Exposure to investment management decision making process.
  • Exposure to banks interest rate management process and hedging strategy [Interest Rate Swaps , FX options , Forwards]
  • Opportunity to work closely with Capital markets team who manage Citigroup’s share issuance and repurchase program.

What knowledge, skills and experience we’ll need from you

  • Minimum bachelor’s degree required. Graduate level degree a plus, PMP Certification a plus
  • 10+ years of experience within financial services or consulting
  • 5 years of experience within project management and the software delivery lifecycle (SDLC)
  • Treasury product knowledge (Money Market, FX, Swaps, Bonds etc.)
  • Knowledge of key Interest Rate Risk metrics.
  • Technical skills required: MS Visio, MS Project, MS Excel, MS PowerPoint
  • Significant intellectual curiosity and desire to learn how Citi Treasury functions.
  • Superior attention to detail and diligence sufficient to withstand scrutiny of a senior audience.
  • Strong team collaborator and partnering skills.
  • Abstract critical thinking and problem-solving skills.
Balance Sheet Management


Time Type:

Full time

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