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Citi Group AVP Senior Credit Portfolio Analyst Hybrid 
United States, Delaware 
202873918

10.09.2024

Theposition resides within the U.S Consumer Bank (USCB) Risk Management Control and Governance function. The position supports governance processes caring for the review, assessment, and reporting of compliance to risk management policies and change management protocols. The ideal candidate should have experience with trend analysis, control monitoring and project management within the financial services industry and preferably within the Risk Management function. Additionally, this individual will contribute to multiple reports and presentations for department heads and senior management assessing the policy compliance and plans for improvement. The job will require working within the risk management function as well as colleagues including Fair Lending Legal and Compliance. This role requires a highly organized person with attention to detail and a desire to increase their knowledge and skills in the Risk Management discipline.

Responsibilities:

  • Ability to create support and buy-in across a wide range of stakeholders

  • Promotes a culture of collaboration and teamwork

  • Ability to apply credit and risk principles toward business objectives

  • Analyzes processes and identifies inherent risks

  • Management of key relationships with both internal and external key stakeholders with the ability to influence at all levels of the organization

Qualifications:

  • 5-8 years of relevant experience

  • Must be highly organized and able to work in a fast-paced environment supporting multiple projects

  • Strong analytic skills

  • Strong interpersonal and communication (verbal and written)

  • Demonstrated ability to synthesize information, prioritize and drive results with a high sense of urgency

  • Working knowledge of Banking regulation a plus.

Education:

  • BA/BS degree (Master's preferred) and/or 2+ years’ experience in financial services industry with a focus on banking and risk management.

Position sits in Wilmington DE or O'Fallon M

Risk ManagementCredit & Portfolio Risk Management

Full timeWilmington Delaware United States$96,400.00 - $144,600.00



Anticipated Posting Close Date:

Sep 05, 2024

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