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Citi Group Balance Sheet Mgmt Intmd Anlst - C11 MUMBAI 
Malaysia, Penang, George Town 
722380667

24.09.2024

Responsibilities:

  • Automate high and critical risk EUCs into Citi’s tech supported infrastructure to allow for a unified, more systemic end to end execution process
  • Process data, prepare and control time-sensitive analytics, visualizations and reports to Risk managers, senior management, and regulators
  • Deliver time sensitive reporting requests that can have very short term deadlines from senior management while ensuring that the highest quality of data accuracy, insight and presentation quality is maintained
  • Responsibilities will be mainly spread across the following areas:
    • BAU activities in creating production reports that need to be done every month/quarter. Responsibility will be from acquiring data from one or more systems, joining/transforming data and then creating executive level presentation output using a combination of internal and external tools
    • New system developments with Python to migrate critical EUCs to ITeSS solutions per business requirements
    • Enhancements to current systems and production processes, including user acceptance testing and control procedure updates
    • Developments of Tableau dashboards in production to build self-service analytical tools for clients

Qualifications:

  • 3-5 years relevant experience in management and/or risk reporting, data analytics preferably in the finance/risk area of a large bank/financial services firm
  • Strong attention to detail; willingness and curiosity to identify and remediate potential data quality issues
  • Advanced knowledge and proved track record with Python is required
  • Experience coding in SQL, SAS, R with complex data is a plus
  • Proficient with Tableau
  • Experience with Microsoft Excel, Access, and VBA is preferred
  • Strong written and verbal communication skills
  • Knowledge of and interests in finance, markets, banking, and risk management
  • Bachelor’s/Universitydegree, Master’s degree preferred
  • Master’s degree in science, engineering; or finance, economics; or related analytical fields is a plus
  • Industry certifications related to Finance/Risk e.g.CFA, FRM is a plus
Balance Sheet Management


Time Type:

Full time

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