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Responsibilities:
Independently perform Quality assurance review of reconciliation, research and analysis for various Citigroup Products, also accountable to produce accurate submissions of Citi financials (US GAAP), USRRI, and Risk Weighted Assets (RWA) review for OCC Commitment products.
Ensure all Month-end adjustments are accurately calculated, documented with valid supports and posted within established timelines as per BSS Global Directives for Genesis.
Review all monthly BAU & Ad-hoc deliverables along with submission and closing the financial books, sub-ledgers, including passing appropriate required adjustment entries and consolidating financials at the end of each accounting period.
Independently assess potential risk for any financial impact to Citi Balance sheet and P&L, quality assurance reviews and signoff as per BSS GLOBAL directives with remit to ensure integrity of Citi Financial statements through preparation & verification of balance sheet reconciliation & substantiation.
Dealing with Multiple Senior stakeholders from Country Finance, GPO, Product Control, Treasury & Operations etc. to provide robust operational environment with effective business communication. Also Interaction with Internal & external Auditors to support concurrent & regulatory audit queries.
Conduct proactive review discussion with Global Balance Sheet Control Group in Account Review Forum (ARF) supports in reduction of balances, which are potential risks to Citigroup Financials.
Assist lead in producing financial and management reports, KPI & KRI metrics, provide high quality updates through Strategic Partners deck, MIS, Dashboard to senior management & internal stakeholders.
Assist lead in mentoring performance of team to ensure efficiency in process and meeting individual & organizational objectives. Encourage team members and colleagues to discuss and bring instrumental thought process in building trust and confidence amongst team members.
Drive projects and bright Ideas on continuous Improvement & Standardization using LEAN, KAIZEN etc. methodology under current control environment. Engaged with Global & Domestic IT support team to resolve IT issues on Financial Reporting Level.
Qualifications:
8+ years of previous relevant experience in financial accounting, reconciliation & analysis preferred.
Self-motivated and detail oriented.
Working knowledge of related industry practices and standards.
Proven problem-solving and decision-making skills
Consistently demonstrates clear and concise written and verbal communication skills.
Education:
Bachelor’s Degree/University degree or equivalent experience
Time Type:
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