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extensive on-the-job training and exposure to senior leaders, as well as more traditional learning. You’ll also have the chance to give back and make a positive impact where we live and work through volunteerism.
Shape your Career with Citi
Citi’s Risk Management organization oversees risk-taking activities and assesses risks and issues independently of the front line units. We establish and maintain the enterprise risk management framework that ensures the ability to consistently identify, measure, monitor, control and report material aggregate risks.
(Internal Job Title:,.you with the resources to meet your unique needs, empower you to make healthy decision and manage your financial well-being to help plan for your future. For instance:
In this role, you are expected to:
The limit monitoring analyst proactively monitors exposures, undertakes analyses/investigations, where required, to ensure that exposures are properly escalated and steps are taken to resolve excesses. This involves interacting with different teams such as Markets, Business, Operations, Legal, systems support as well as Risk Managers
Perform daily unused commitments monitoring and reporting for local regulatory purposes.
Coordinate with other departments and various levels of management regarding credit risk reporting issues, including investigating data issues and resolving reporting errors.
Develop into a subject matter expert in as far as excess monitoring is concerned, and be able to implement actions toward resolving such excess as warranted.
Identify policy and procedural gaps and be able to propose corrective actions.
Demonstrate an ability to resolve internal and external audit issues and to interpret information requests from regulators.
Support Risk Managers on excess-related responsibilities and ad hoc requests.
Develop an understanding of how financial and capital markets transactions, including derivative and foreign exchange trading, generate risk exposure and how these affect extensions of credit.
Manage assigned projects in a timely manner, ensuring that required deliverables are met.
Develop and maintain effective working relationships with colleagues in other areas of Risk.
Development Opportunities:
Gain knowledge of industries covered in a diverse portfolio of Corporates, Banks and Financial Institution clients and risk management practices.
Develop understanding of financial market instruments and their inherent risks.
Gain knowledge of all capital market products.
As a successful candidate, you’d ideally have the following skills and exposure:
Graduate of a Business-related courses, preferably Economics, Accounting or Finance
Knowledge of or ability to learn quickly about capital markets products and other corporate banking products.
Strong verbal and written communication skills, with fluency in English
Ability to work in a team-oriented environment as well as independently
Strong quantitative and analytical skills
Strong database management skills (Microsoft Excel, MS Access)
Attention to detail and ability to recognize reporting and processing errors
Must have a pro-active approach to problem solving and the ability to meet tight deadlines
Be able to demonstrate a great deal of resourcefulness and ability to gather, synthesize and present findings from different sources.
Good time management skills with the ability to prioritize multiple deliverables
Credit/Risk experience an advantage
Time Type:
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