Provide support to the Non-Trading Market Manager with BSM’s management process by providing analytical support with a primary focus on FXRBB.
Provide support to the NTMR manager for enhancing BSM’s analytics and methodologies and establishing Citi's first-line NTMR management framework(Policy/Standard/Procedures,models, methodologies, reporting, controls, processes, analytics, data and documentation).
Provide support to align governance and management framework, procedures and controls for all legal entities that have FX risk in the Banking Book. Provide support to the NTMR manager to liaise with businesses, legal entity treasury, CTI and Markets Treasury, and Controllers teams to ensure both an understanding and the ability to manage other non-trading market risks.
Qualifications:
3 + years experience in Financial Services, Treasury, and bank global liquidity investment portfolio.
Understanding of Bank ALM, Capital, and Liquidity considerations is a plus
Proven ability to work under pressure in ambiguous environments and self starter
Exercises proven Power Point and Excel skills
Good verbal and written communication skills
Understanding of accounting general ledge
Ability to prioritize in a fast-paced environment Ability to interact with all levels of management Must be a team player
Education:
Bachelor’s degree in Finance and Business or related fields;
Proficient with Bloomberg, fixed income analytical tools, Python and/or coding for large quantities of data and database is preferred
Balance Sheet ManagementNew York New York United States$109,120.00 - $163,680.00