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The Trader is a senior level position responsible for overseeing a trading book and managing book risk, in coordination with the Trading team. The overall objective of this role is to ensure book trades deliver on budgeted revenues, and to coordinate with key stakeholders to develop the trading franchise. Our Markets business provides customized solutions that support the
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The Business Risk and Control Sr Group Manager Technology and Data lead manages multiple teams through other managers. Excellent communication skills are required to negotiate internally, often at a senior level. Responsible for supporting enterprise and executing functional strategy in areas managed. Accountable for end results and contributing to the future strategy of
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Perform effective review and challenge activities for P&L and balance sheet through ongoing interaction with the first line via walkthroughs and dedicated governance meetings Maintain an end to end perspective within and across capital planning components, develop in depth analysis to assess reasonability of results and ensure transparency of governance, methodologies and
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The SVP for CCAR Liquidity Review is responsible for executing independent review and challenge of the CCAR liquidity workstream, including quarterly internal refresh as well as the review and challenge of the Contingency Funding Plan (CFP). Responsibilities SVP for CCAR Liquidity Review will lead the liquidity and funding workstream for Citigroups annual CCAR regulatory
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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 Citigroups Recovery and Res
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The VP for Recovery and Resolution Planning is responsible for supporting independent review and challenge of the RRP liquidity workstream, including Recovery and Resolution Plan submissions. Responsibilities The role involves performing credible review and challenge of Citigroups Recovery and Resolution Plans across methodology, results, governance and processes. The VP
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In Business Risk (IBR) is a global team with product and risk expertise across the Equities product suite. This role will report to the Global Head, and will support the Futures & Derivatives Clearing (FDC) businesses, with opportunity to help with FX Prime Brokerage and/or Fixed Income PB, depending on the candidate. The Risk professional should have a working knowledge
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The Finance Chief Risk Office (FinCRO) provides risk management oversight of the Finance function, including effective risk challenge and mitigation of risk for capital, liquidity, interest rate risk and treasury investments, and ensures compliance with all risk related regulatory requirements. In addition, the team oversees the key risk management methodologies and calcu
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Citi Treasury safeguards the balance sheet, capital, and liquidity of Citigroup while providing oversight of liquidity, interest rate and currency translation risks. Services Business Treasury is responsible for the oversight of Services businesses balance sheet with respect to asset and liability composition and targets, and capital activities. We partner with the busine
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ICM In Business Quality Assurance VP Financing and Securitization Institutional Credit Managements (ICM) objective is to provide an integrated end to end credit underwriting, identification, measurement, management, monitoring and reporting for wholesale credit businesses across the enterprise.In Business Quality Assurance is an integral part of the ICM organization. The
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The Client Lead Finance Officer Team Vice President position is under the Citigroup wide Client Analytics & Lead Finance Officer team. This is a new team, focusing on supporting Citi's Chief Client Officer. This role will be supporting management of all financial aspects across the Client organization and is responsible for supporting the definitions of financial objectiv
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The Finance FR Y 14 Actuals Reporting Group Manager is a senior level position responsible for managing a team of professionals responsible for the preparation, analysis, reconciliation, and review of FR Y 14Q (CCAR) Wholesale Schedules with detailed perspective on data quality issues, at Citi. The objective of this role is to provide accurate reporting to our Regulators
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The Business Risk and Control Sr Officer I Control Advisory is a strategic professional who closely partners with Independent Compliance Risk Management (ICRM) colleagues, providing advisory services on the identification and assessment of risk, as well as the design of controls. Excellent communication skills are required in order to negotiate internally, often at a seni
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The Credit Portfolio Senior Officer II is a senior level position responsible for leading activities including credit review, credit approvals and monitoring the portfolio to identify credit migration in coordination with the Risk Management team. The overall objective of this role is to manage Citi's portfolio exposure to client and counterparties globally. Responsibilit
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The Senior Vice President Business Controls Lead will be responsible for in business control assessments, regulatory change management, key remediation efforts and continuous process improvement. This position works closely with Business stakeholders as well as Independent Risk, Compliance, Internal Audit, Legal, Operations and other cross functional partners to assess an
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