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Citi Group AVP Credit Portfolio Senior Analyst Hybrid 
United States, Texas 
17100685

09.07.2024

Responsibilities:

  • Analyze data and produce reports for all functions of the Third Party Credit Risk Group
  • Consolidate required information and present it in an informative way
  • Conduct Credit and Performance Risk assessments of both prospects and existing third party relationships, including analyzing companies, industries, financial viability, Citi's contingent risks and contract protections
  • Use Citi’s proprietary systems & tools including Debt Rating Model (DRM), CAT, RAPID, Credit Engine and Optima.
  • Structure third party agreements and negotiate transactions.
  • Conduct annual and/or quarterly reviews of Third Parties involved in critical activities for Citi
  • Contribute to the development of new techniques and improvement of processes and work-flows by applying in-depth disciplinary knowledge and integrating subject matter and industry expertise within Risk Management
  • Research management queries using risk systems and data and support ad-hoc risk policy analyses and projects as required
  • Participate in developing, testing, and optimizing credit policies, ensuring consistency and regulatory compliance, and assist in the implementation of those policies, processes and other related initiatives
  • Manage risk levels for the entire credit spectrum across multiple products and retail formats and prepare risk management presentations for senior management
  • Appropriately assess risk when business decisions are made, demonstrating particular consideration for the firm's reputation and safeguarding Citigroup, its clients and assets, by driving compliance with applicable laws, rules and regulations, adhering to Policy, applying sound ethical judgment regarding personal behavior, conduct and business practices, and escalating, managing and reporting control issues with transparency.

Qualifications:

  • 5+ years of work experience, preferably in the Financial Services Industry, in Reporting or Risk Management areas
  • Knowledge of commercial risk data analytics
  • Advanced knowledge of Excel, Tableau
  • Experience with internal risk / finance reporting systems (Optima, CitiRisk), system flows, and data attributes
  • Very strong quantitative/analytical skills
  • Knowledge of credit risk measures and basic accounting
  • Ability to analyze data and present conclusions
  • Ability to apply credit and risk principles toward business goals
  • Experience with interacting with senior management, regulators, internal and external audit.
  • Demonstrated ability to synthesize, prioritize and drive results with a sense of urgency
  • Excellent communication, presentation and writing skills
  • Proven ability to remain organized in a fast-paced environment, managing multiple projects
  • Proven interpersonal and organizational skills

:

  • Bachelor's degree/University degree or equivalent experience

Risk Management

Credit & Portfolio Risk Management

Full time

Irving Texas United States

$96,400.00 - $144,600.00



Anticipated Posting Close Date:

May 29, 2024

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