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Citi Group Risk Reporting Intermediate Analyst 
Malaysia, Penang, George Town 
275108472

19.11.2024

Responsibilities:

  • Prepare monthly / quarterly risk regulatory reports pertaining to WCR India regulatory landscape for submission to the RBI
  • Reporting can cover a variety of areas including but not limited: Credit Risk Exposure, Portfolio Concentrations and Limit Exceptions.
  • Regional / Country Rapid Portfolio Reviews and Management Business Reviews
  • Business analysis support for solutions and platforms delivering risk data and adhoc regulatory asks
  • Work closely with industry and regional senior portfolio managers.
  • Utilize Tableau to design visualizations, dashboards and data flows
  • Participate in initiatives to develop effective controls for data, data quality metrics and governance
  • Collaborate with risk and SME reporting leads on initiatives, key reports, and presentations.
  • Assists in centrally acquiring all data related to Risk management and regulatory reporting processes while ensuring data quality, completeness and consistency across the organization.
  • Work on critical Risk-wide initiatives such as Tableau implementation, end-user computing reduction, and process/data controls.
  • Designs, implement, and monitors key performance indicators and metrics
  • Leverages technical expertise to execute quantitative analyses that translates into actionable insights for management.

Qualifications:

  • 5+ years of experience in financial services or related industry viz preparation of reports some of which are CRILC, Credit Bureau reporting, SMA
  • Strongquantitative/analyticalskills including understanding of core risk management / Banking Concepts. Work experience in banking risk management and Risk Analytics will be an added advantage
  • Experience building dashboards and reports in BI tools such as Tableau, Power BI, or other packages
  • Understanding of programming, technology systems, risk data, and automation will be preferred
  • Proficiency with MS Office Suite (Word, Excel, PowerPoint) including VBA
  • Strong written and verbal communication skills and organizational skills
  • Ability to work independently and multi-task effectively in a high volume and complex environment with changing priorities

Education:

  • Professional degree equivalent to CA / MBA Finance or Post Graduates from premier universities.
  • Bachelor / Master’s degree in Finance, engineering, computer science or other analytically intensive discipline will be an advantage.
Risk ManagementRisk Reporting


Time Type:

Full time

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