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Balance Sheet Management Senior Lead Analyst

https://www.citi.com/ Logo

Citi

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Location:
United Kingdom, London

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Category:
Finance

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Contract Type:
Employment contract

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Salary:

Not provided

Job Description:

The Balance Sheet Management Senior Lead Analyst will play a critical role in driving sophisticated balance sheet optimisation initiatives for Citi. The successful candidate will contribute cutting-edge financial modelling and strategic insights while gaining unparalleled exposure to high-level decision-making and complex treasury management. In return, they will help shape the financial landscape of the institution, leveraging innovation to drive impactful change.

Job Responsibility:

  • Develop and execute advanced financial models to optimise asset and liability management across legal entities, businesses, and products
  • Identify and implement effective strategies for managing the balance sheet under varying market and regulatory conditions
  • Ensure accurate and consistent data integration from internal sources to enhance model efficiency and scalability
  • Partner with Risk, FP&A, and business units to align balance sheet strategies with organisational objectives
  • Ensure all decisions and actions align with applicable laws, regulations, and risk frameworks
  • Stay abreast of emerging financial modelling and optimisation techniques to continually enhance decision-making processes
  • Present complex modelling concepts and actionable insights to senior stakeholders, bridging technical and non-technical perspectives
  • Proactively manage and report control issues while maintaining transparency and safeguarding the firm’s reputation

Requirements:

  • Bachelor’s degree in Finance, Economics, Mathematics, Computer Science, Operations Research, or a related field (Master’s/PhD preferred)
  • Experience in financial services or relevant roles, with strong exposure to treasury functions, liquidity management, and interest rate risk
  • Proficiency in Python programming, object-oriented design, and optimisation techniques (e.g., linear and stochastic programming)
  • Ability to translate complex financial interactions into actionable models and insights
  • Exceptional ability to convey technical concepts to non-technical audiences and engage effectively with senior stakeholders
  • Solid understanding of compliance frameworks and risk management principles
  • Detail-oriented, adaptable, proactive, and self-motivated to thrive in dynamic environments

Nice to have:

  • Master’s/PhD in Finance, Economics, Mathematics, Computer Science, Operations Research, or a related field
  • Deep curiosity to understand how banks fundamentally work
  • Ability to independently research, analyse, and translate findings into mathematical representations
What we offer:
  • Generous holiday allowance starting at 27 days plus bank holidays
  • increasing with tenure
  • A discretional annual performance related bonus
  • Private medical insurance packages to suit your personal circumstances
  • Employee Assistance Programme
  • Pension Plan
  • Paid Parental Leave
  • Special discounts for employees, family, and friends
  • Access to an array of learning and development resources

Additional Information:

Job Posted:
March 21, 2025

Employment Type:
Fulltime
Work Type:
Hybrid work
Job Link Share:
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