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Citi Group AVP Management Reporting Senior Analyst hybrid 
United States, New York 
690744354

03.09.2024

The primary responsibility of this role would be in supporting Operational Risk Loss Forecast Reporting including Capital and Stress Testing including CCAR deliverables and related projects. This is a highly visible and critical role with the increased Citi transformation and Consent Order related deliverables to various management teams internally and regulators and auditors externally.

  • Key responsibility will be to submit Loss Forecast results to the regulators and internal groups with timeliness and accuracy.
  • Prepare Operational Losses forecast and analysis for senior management in Finance and Operational Risk Management.
  • Support the Capital and CCAR remediation efforts by closely working with Operational Risk Management and Technology in implementing corrective solutions where needed.
  • Collaborate with Technology in successfully implementing CCAR technology improvements toward streamlining and process efficiency.
  • Perform UAT related to system enhancements and requirements mandated by regulators and internal Policy, Standards, and Procedures.
  • Develop an understanding of Citigroup’s business structure in combination with financial markets and key risk factors that contribute to operational losses faced by various Citigroup Business Segments.
  • Develop and maintain close working relationships with Operational Risk Management, Finance, Legal, Finance & Risk Shared Services, Technology, and various other internal groups.
  • Regularly manage and update Manager’s Control Assessments, Critical Data Elements, End-User Computing, Process and Control documentations, and Process Flows.

Qualifications:

  • The ideal candidate will have a BS or BA and 6+ years' work experience in finance or related control discipline (e.g. Risk Management, Reporting, Financial Control, Audit, etc.) Understanding of the Operational risk function and processes is a plus.
  • Quick learner with excellent communication skills, team orientation, and ability to work with counterparts in different areas of organization and locations.
  • Self-motivated individual who can take initiative and work independently.
  • Highly detail-oriented in regard to documentation with a control mindset.
  • Keen analytical skills to synthesize, validate and analyze data and metrics.
  • Strong critical thinking, problem solving and discovery skills.
  • Capacity to maintain high attention to detail and accuracy are essential while working against demanding deadlines.
  • Advanced knowledge of Microsoft Suite required and familiarity with financial models, programming languages, data visualization tools, financial reporting is desirable.
Risk Management

Full timeGetzville New York United States$77,280.00 - $115,920.00



Anticipated Posting Close Date:

Jul 08, 2024

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