

Job Information
Citibank, N.A. Risk Reporting Senior Analyst in Getzville, New York
Citibank, N.A. seeks a Risk Reporting Senior Analyst for its Getzville, New York location.Duties: Analyze and prepare regular and ad hoc reports for internal management, regulators, and auditors that detail risks inherent in credit or other risk portfolios. Work with stakeholders to answer queries on subjects such as risk exposure, market scenarios, or values-at-risk calculations. Identify and implement automation, data improvement, and consolidation opportunities, and ensure that risk reporting is in compliance with regulatory, internal and external audit requirements. Review data for data quality and accuracy. Collaborate with risk managers, business units, other control functions and technology teams to resolve data quality and operational problems that impact risk reporting. Work closely with industry and regional senior portfolio managers to cover a variety of reporting areas, including portfolio concentrations, limit exceptions, stress testing, loss reserves or high-risk exposures. Prepare reports using various reporting tools, and produce reports that outline findings, explain risk positions, or recommend changes. Assist with identifying key risks and mitigating factors of potential investments. Identify and assist with testing re-engineering opportunities to enhance processes and controls and achieve best in class practices. Identify and escalate compliance risk inherent in particular situations, products, or processes. Understand the end-to-end trade processing flow which is needed to jointly work with risk managers, business unit technology and other control functions in resolving data quality and operational problems that impact credit risk reporting. A telecommuting/hybrid work schedule may be permitted within a commutable distance from the worksite, in accordance with Citi policies and protocols.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. Salary range: $97,642 to $97,642/yr; 40 hrs/wk. Applicants submit resumes at https://jobs.citi.com/. Please reference Job ID #25846628. EO Employer.
Minimum Salary: 97,642 Maximum Salary: 97,642 Salary Unit: Yearly