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Description
Citi Treasury safeguardsbalance sheet,capital, and liquidity of Citigroup while providing oversight of liquidity, interestand currencys and individualsthe firmsufficient liquidity during operating hours to ensure thecompletion of those servicesIntraday liquidity (IL) management activities and resources bridge timing gaps between client funding activities and Citi’s completion of those PCS activities on behalf of those clients
The Intradaleads the firm’sIntraday Liquidity Target State Working Groupongoing developmentof IL strategy and itsoperating frameworkIts emphasis is oriented towards realizing commercial opportunities in a sound manner.f existing practices asproactive preparation for market changesinstant, 24/7 payment processesas well as cash and securities digitization
Scope of Responsibilities
a broad understanding of ILmanagement practices and an awareness of, including paymentqueuing practices,that contribute to the use of thatAnalytical experiences should highlightopportunities within a dynamic environment.This role will be instrumental in developing andCiti’s readiness to all stakeholders, including regulators.
An understanding of payments, securities settlementclearing services actvities is also desired
Primary responsibilities include:
Participate on notedprogram teams toattainIL operating model and monitoring objectives
and documentIL measurement,monitoringand control processesas well as systems requirements necessary to support the new operating model
Analyze IL usage trends,impactsupon reserves and related asset optimization opportunities
Enhance operating modelto reflect liquidity assessment requirements on a 24/7 basis
support ofinstant payments, accelerated asset settlements and continuous (24/7) client
Qualifications:
Education:
Anticipated Posting Close Date:
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