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The Compliance Anti Money Laundering (AML) Risk Management Director is a senior management level position responsible for establishing internal procedures to prevent money laundering and assist in all matters concerning financial crimes in coordination with the broader AML team. The overall objective is to manage a team, utilize in depth specialty knowledge to identify is
Posted 1 day ago
Private Equity and Pension Funds (PEPF) Risk provides centralized risk management oversight for all equity investments at Citi.The individual will be primarily responsible for risk managing our Private equity portfolio (specifically focused on Venture Investments) Review and approve all new and follow on venture investments as well as determine the required approvals on m
Posted 1 day ago
Citi, the leading global bank, has approximately two hundred million customer accounts and does business in more than 160 countries and jurisdictions. For the past two hundred years at Citi, we have a drive to help clients move from ambition to achievement. Our company has been one of the foundational components of todays modern financial infrastructurethis gives us a lev
Posted 1 day ago
The ORM Risk Appetite & Limits Lead manages a team responsible for leading and coordinating the risk appetite, risk appetite assessment, metrics selection, risk identification and concentration risk processes. The team also manages ORM Procedures related to these areas. ORM Risk Appetite & Limits Lead is a strategic professional who closely follows latest trends in own fi
Posted 1 day ago
The Risk Appetite Assessment Principal is a strategic professional who closely follows latest trends in own field and adapts them for application within own job and the business. Recognized subject matter expert within at least one aspect of non financial risk. Strong commercial awareness is a necessity. Is an acknowledged authority both within and outside area of experti
Posted 1 day ago
Citi Treasurys missionis to bestewards of Citis capital base and liquidity positionby managing the firms ?Balance Sheet and Financial Resources includingCapital, Liquidity, and Non Trading Market Risk, which includes interest rate risk. Markets Business Treasury is responsible for the oversight of Markets businesses balance sheet and serves as a key point of contact into
Posted 1 day ago
Global Systematic Stress Testing GSST program is an enterprise wide stress testing program with a monthly cadence. The program is compliant with Citis Enterprise Stress Testing Policy that interprets applicable regulatory guidance on stress testing and incorporates this guidance when evaluating the impact of stress events and adverse macro and market conditions on Citis o
Posted 1 day ago
The Balance Sheet Management Lead Analyst is a strategic professional who stays abreast of developments within Capital Markets and contributes to directional strategy through analysis and collaboration with business and support functions. Requires experienced commercial awareness and product knowledge (i.e., trading strategies and balance sheet fundamentals). Strong commu
Posted 1 day ago
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
Posted 1 day ago
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
Posted 1 day ago
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
Posted 1 day ago
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
Posted 1 day ago
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
Posted 1 day ago
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
Posted 1 day ago
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
Posted 1 day ago
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