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Citi Group Liquidity Risk Review Recovery Resolution Planning SVP hybrid 
United States, District of Columbia, Washington 
775788116

11.06.2024

The SVP Recovery and Resolution Planning (RRP) will be responsible for leading and overseeing the review of recovery and resolution strategies within Citi, with a specialized focus on conducting independent reviews of financial forecasting processes from a liquidity risk perspective.

  • The role involves performing credible review and challenge of Citigroup’s Recovery and Resolution Plans across methodology, results, governance and processes.

  • The SVP RRP is responsible for providing review and challenge of financial capabilities pertaining to the Plans and ensuring alignment with latest regulatory requirements.

  • SVP RRP will lead the review and challenge of the Citigroup’s Contingency Funding Plan (CFP). Review and challenge scope includes alignment to regulatory guidance across quantitative assessment, liquidity management processes, monitoring and testing.

  • The SVP RRP is responsible for documenting and presenting results and observations that arise from review and challenge of the plans to senior management, independent risk management teams and Treasury partners.

  • The SVP RRP is responsible for developing summary and backup materials to support Board and other required signoffs on the plans.

  • The role involves partnering with Treasury, other risk stripes and subject matter experts to identify and implement plan improvements.

  • The role requires deep knowledge of financial regulations and requirements, particularly those relating to recovery and resolution planning, such as Resolution Plan Final Guidance, SR 12-17, SR 14-8, 12 CFR Part 30 Appendix E .

Qualifications:

  • Bachelor's degree in Finance, Economics, Business Administration, or related field; advanced degree preferred.

  • Extensive experience (typically 10+ years) in recovery and resolution planning, treasury, liquidity risk management.

  • In-depth knowledge of liquidity risk management principles, methodologies, and regulatory requirements (e.g., LCR, NSFR, stress testing).

  • Strong understanding of financial markets, funding instruments, and liquidity metrics (e.g., cash flow analysis, funding gaps, liquidity ratios).

  • Proven track record of leading independent reviews on First Line of Defense and Treasury.

  • Excellent analytical, problem-solving, and decision-making skills.

  • Strong leadership, communication, and stakeholder management skills, with the ability to influence and collaborate effectively across departments and levels of the organization.

  • Relevant certifications and knowledge of regulatory frameworks are highly desirable.

Risk ManagementTreasury Risk

Full timeNew York New York United States$176,720.00 - $265,080.00



Anticipated Posting Close Date:

May 10, 2024

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