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Requirements: Requires at least a Bachelor’s degree, or foreign equivalent, in Finance, Econometrics, Quantitative Economics, Business Administration, or related field and 2 years of experience as a Risk Reporting Analyst, Product Control Analyst, or related position involving conducting data and financial analysis for derivates for a global financial services institution. 2 years of experience must include: Conducting data and financial analysis for derivatives; Advanced Microsoft Excel including pivots, vlooksups, & sumifs, to perform price level verification and do reconciliation tie outs; MS PowerPoint and Power BI; Financial modelling with R for budgeting and forecasting data; and Financial accounting including P&L movement and preparation for GAAP level reporting. At least 1 year of experience must include: Bloomberg analytics to monitor market trends and movement/changes in credit products, including pricing & volumes; Financial accounting including balance sheet movement; and Communicating with stakeholders and senior management and conducting monthly-quarterly meetings. Applicants submit resumes at https://jobs.citi.com/. Please reference Job ID #25846628. EO Employer.
Wage Range: $97,642 to $97,642
Full timeGetzville New York United States
Anticipated Posting Close Date:
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