Citigroup
Risk Management Reporting Analyst
Working at Citi is far more than just a job. A career with us means joining a team of more than 230,000 dedicated people from around the globe. At Citi, you'll have the opportunity to grow your career, give back to your community, and make a real impact. Job Overview
Key responsibilities for this position will include but are not limited to: Producing monthly and quarterly reports for senior Risk Managers including the Chief Risk Officer and Board of Directors Supporting the delivery of risk capital and stress testing reporting and enhancements Conducting analysis to support decision-making for key risk/business initiatives Ensuring reporting processes are well controlled and documented Finding creative solutions to management questions based on available (and sometimes limited) information Interacting with reporting, modeling, and technology teams to execute on a wide range of reports and analysis Assisting in centrally acquiring all data related to Risk and Finance management and regulatory reporting processes while ensuring data quality, completeness, and consistency across the organization Developing Subject Matter Expertise (SME) in specific risk management area, including risk metrics, risk governance, as well as related data and technology infrastructure, and act as SME to senior stakeholders and/or other team members. Development opportunities: Horizontal perspective of key risks or issues that span the entire Group Broad, holistic, enterprise-wide view of risk management Insight into Citi's major businesses / products and their risk drivers Develop technical knowledge in credit, market and operational risk Develop skills to derive insight through analysis of risk metrics Enhance analytical skills and gain experience working with data from a variety of risk systems Build relationships with risk and business managers throughout the organization Qualifications: Solid analytical skills (Bachelors in a concentration with analytic focus, e.g. business, finance, economics, math, statistics, physics, etc). Sound knowledge base of Economics and business. Experience in financial services a plus. 2+ years professional experience in an analytically focused role. Risk management a plus. Ability to work independently and be a team player Must demonstrate ability to problem solve, successfully multi-task, and meet deadlines Excellent verbal and writing communication skills, including the ability to communicate complex ideas in simple terms Appetite for constant learning on methodological and technical aspects of risk management and measurement. An interest in modeling a plus. A high degree of competence with Excel, PowerPoint and Tableau as well as the ability to work under pressure will be critical Broad base of knowledge and familiarity with current events a plus.
Working at Citi is far more than just a job. A career with us means joining a team of more than 230,000 dedicated people from around the globe. At Citi, you'll have the opportunity to grow your career, give back to your community, and make a real impact. Job Overview
Key responsibilities for this position will include but are not limited to: Producing monthly and quarterly reports for senior Risk Managers including the Chief Risk Officer and Board of Directors Supporting the delivery of risk capital and stress testing reporting and enhancements Conducting analysis to support decision-making for key risk/business initiatives Ensuring reporting processes are well controlled and documented Finding creative solutions to management questions based on available (and sometimes limited) information Interacting with reporting, modeling, and technology teams to execute on a wide range of reports and analysis Assisting in centrally acquiring all data related to Risk and Finance management and regulatory reporting processes while ensuring data quality, completeness, and consistency across the organization Developing Subject Matter Expertise (SME) in specific risk management area, including risk metrics, risk governance, as well as related data and technology infrastructure, and act as SME to senior stakeholders and/or other team members. Development opportunities: Horizontal perspective of key risks or issues that span the entire Group Broad, holistic, enterprise-wide view of risk management Insight into Citi's major businesses / products and their risk drivers Develop technical knowledge in credit, market and operational risk Develop skills to derive insight through analysis of risk metrics Enhance analytical skills and gain experience working with data from a variety of risk systems Build relationships with risk and business managers throughout the organization Qualifications: Solid analytical skills (Bachelors in a concentration with analytic focus, e.g. business, finance, economics, math, statistics, physics, etc). Sound knowledge base of Economics and business. Experience in financial services a plus. 2+ years professional experience in an analytically focused role. Risk management a plus. Ability to work independently and be a team player Must demonstrate ability to problem solve, successfully multi-task, and meet deadlines Excellent verbal and writing communication skills, including the ability to communicate complex ideas in simple terms Appetite for constant learning on methodological and technical aspects of risk management and measurement. An interest in modeling a plus. A high degree of competence with Excel, PowerPoint and Tableau as well as the ability to work under pressure will be critical Broad base of knowledge and familiarity with current events a plus.