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Citi Group SVP Citi Global Wealth Regulatory Engagement 
United States, Florida, Jacksonville 
806348269

Today

Key Responsibilities:

  • Manage and monitor assigned regulatory examinations to achieve full compliance; requires directing a cross-functional team including, but not limited to, the Citi Global Wealth business (e.g., Citi Private Bank, Citigold, Citigold Private Client, Wealth at Work), ICRM, Legal, Operations, Independent Risk, Internal Audit, and other cross-functional partners.
  • Has experience in product areas such as Investments, Lending, or Banking.
  • Establish and sustain strong project management disciplines and routines with clear accountability for the business and key stakeholders from the regulatory examination planning period through formal management response to regulatory supervisory letters.
  • Establish and lead formal communication processes with the regulatory agencies to provide transparency to the business through regular business updates (i.e., meetings) and routines.
  • Provide updates to executive management and regulatory agencies on status of regulatory examinations, including progress against deliverables, risks identified, and any other potential impacts.
  • Collaborate with Wealth and other business leaders to identity/escalate any critical examination findings/issues, decisions, roadblocks, or delivery concerns to management.
  • Understand regulatory frameworks and key regulatory priorities.
  • Ensure alignment on approach to regulatory examinations and regulatory interactions (i.e., meetings, ad hoc requests) across the Citi Global Wealth businesses, where applicable.
  • Acts as a thought leader by developing and promoting a standardized approach to regulatory management across the organization.
  • Promotes awareness of trends raised during exams and ongoing supervision and drives that message across the organization.
  • Provides insight to legal entity impact of exams and regulatory priorities as applied to Citibank and Citigroup.
  • Analyze regulatory reports, Management Information Systems, and make recommendations to enhance the regulatory engagement remit.

Qualifications

  • 10+ years of business experience in audit, control, compliance or regulatory management in the banking or wealth management industry.
  • Previous experience of interacting and working with Executive Leaders. The role requires leadership presence, subject matter expertise, and the finesse to work with industry leaders and senior executives.
  • Capability to contribute to both the strategy and execution of an associated operational plan
  • Demonstrated success in managing highly complex project management activities with agility, a sense of urgency and clear solution mitigation
  • Capability to adapt in a constantly changing and evolving business and control environment
  • Promotes a culture of collaboration and teamwork across organizational boundaries; willing to break down functional silos to optimize business results and ensure controls
  • Deep analytical skills and experience in managing highly technical and sophisticated risk management strategies. Keen ability to quantify the benefits/savings of these risk projects.
  • Highly motivated, strong attention to detail, team oriented, organized
  • Excellent written, verbal and analytical skills; Communicating extensively and succinctly (orally and in writing)
  • Strong communication and interpersonal skills; strong presentation skills with the ability to articulate complex problems and solutions through concise and clear messaging at multiple levels
  • Demonstrated ability to assess complex issues through root cause analysis and other analytical techniques; structure potential solutions; drive to resolution with senior stakeholders in a global environment
  • Experience coordinating with regulators and previous exposure to internal or external control functions and regulators. Preferably international or cross-border regulatory experience
  • Professional ability and presence to interact with senior management and regulators
  • Ability to challenge management and escalate issues when appropriate
  • Strong track record of effectively assessing and managing competing priorities
  • Comfort navigating complex, highly-matrixed organizations
  • Comfortable acting as an agent for positive change with agility and flexibility
  • Effective negotiation skills, a proactive and 'no surprises' approach in communicating issues and strength in sustaining independent views.
  • Strong presentation and relationship management skills are essential
  • Should have proficiency in Microsoft Office – particularly Excel (metrics and data analysis), PowerPoint (presentation decks), and Word (writing and editing documentation).
  • Experience working in the wealth management preferred.
  • Minimal travel may be required.

Education

  • Bachelor’s degree/University degree or equivalent experience.
  • Master’s degree or Juris Doctor preferred


This job description provides a high-level review of the types of work performed. Other job-related duties may be assigned as required.

Regulatory Risk

Full timeTampa Florida United States$141,440.00 - $212,160.00


Anticipated Posting Close Date:

Oct 04, 2024

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