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The Risk Reporting Group Manager is accountable for management of complex/critical/large professional disciplinary areas. Leads and directs a team of professionals. Requires a comprehensive understanding of multiple areas within a function and how they interact in order to achieve the objectives of the function. Applies in-depth understanding of the business impact of technical contributions. Strong commercial awareness is a necessity. Generally accountable for delivery of a full range of services to one or more businesses/ geographic regions. Excellent communication skills required in order to negotiate internally, often at a senior level. Some external communication may be necessary. Accountable for the end results of an area. Exercises control over resources, policy formulation and planning. Primarily affects a sub-function. Involved in short- to medium-term planning of actions and resources for own area. Full management responsibility of a team or multiple teams, including management of people, budget and planning, to include performance evaluation, compensation, hiring, disciplinary actions and terminations and budget approval.
Job Responsibility:
Contributes to the analysis and preparation of reports for Internal Management, Regulators, Auditors, etc. that detail risks inherent in Credit, Market, Operational or other Risk Portfolios
Assists in Credit Bureau Reporting initiatives
Participates in preparing regular and time-sensitive ad-hoc deliverables to the regulators and senior managements, closely working with industry and regional senior portfolio managers
Appropriately assess risk when business decisions are made, demonstrating particular consideration for the firm's reputation and safeguarding Citigroup, its clients and assets, by driving compliance with applicable laws, rules and regulations, adhering to Policy, applying sound ethical judgment regarding personal behavior, conduct and business practices, and escalating, managing and reporting control issues with transparency, as well as effectively supervise the activity of others and create accountability with those who fail to maintain these standards
Requirements:
10+ years of experience in finance and/or risk information analytics
Expert in development and senior usage of portfolio credit risk MIS
Strong understanding of key credit risk performance metrics, macroeconomic indicators, and general banking concepts
Ability to independently and effectively work across all levels of management and across functions to accomplish the mission
Demonstrated strong leadership experience, especially in transitioning or challenged environments
Collaboratively and extensively investigating, analyzing and interpreting Credit Risk Management information based on a strong understanding of business processes, drivers and priorities
Organizing and planning to accomplish BAU MIS and Senior Management presentation timelines
Gathering input information for building presentations from different stakeholders and sources
Transforming several pieces of information into high impact presentations throughout a strong storytelling
Effectively structuring information to help with the audience's understanding
Quick reacting to eventually developing emerging presentations (on demand) on a quickly manner
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