**Responsibilities**:
- Manage regional and other key Risk reviews
- Assess quality of assigned portfolios, including identification and evaluation of emerging risks
- Assess effectiveness of the credit risk processes and standards of assigned entities to promote leading practices and identify opportunities for improvements
- Review and assess the appropriateness, completeness and usage trends of the credit risk components of the Risk Appetite framework for the assigned portfolios
- Provide autonomous assessment of the accuracy and appropriateness of risk ratings and classifications of the assigned portfolios
- Assess business/risk staffing models to ensure appropriate resources for assigned entities
- Ensures that corrective action plans for assigned businesses are appropriate, monitored and duly validated addressing concerns resulting from Fundamental Credit Risk reviews.
- Assist the Risk Head on regional and/or global tasks
- Develop a strategic plan to maximize the effectiveness and efficiency of the organization
- Improve upon and expand the decision engine capabilities of the current collections process to insure optimal treatments are being applied to each account as they move through the delinquency buckets
- Work with Collections and Recovery Ops to insure all processes are functioning optimally for the PG portfolios
- Develop new approaches to collections by looking for best in class solutions across the industry
- Infer the diverse opinions of Sr. Management and Regulators to effectively address all issues
- Manage the relationships, expectations and deliverables for outside regulators, ARR, Regulatory reporting, Risk, Finance and Accounting Policy
- Partner with Risk organization to understand the source of the data and continue to improve the process of defining, extracting and utilizing the data.
**Qualifications**:
- 15+ years financial services experience including credit experience in corporate and commercial bank
- Regulatory experience or relevant experience in a similar role at another institution is desirable.
- Fully conversant in credit policy matters
- Good knowledge of capital markets products, including derivatives
- Skilled at analyzing root causes of problems and anticipating "horizon" issues
- Ability to coordinate and manage large review teams
- Ability to work at senior levels and build constructive and effective relationships with peers
- Effective analytical, written and oral communication skills
- Project management skills
**Education**:
- Bachelor's/University degree, Master's degree preferred
This job description provides a high-level review of the types of work performed. Other job-related duties may be assigned as required.
Experience in Financial Institutions
- **Job Family Group**:
Risk Management
- **Job Family**:
Credit Decisions
- **Time Type**:
Full time
- Citi is an equal opportunity and affirmative action employer.
Qualified applicants will receive consideration without regard to their race, color, religion, sex, sexual orientation, gender identity, national origin, disability, or status as a protected veteran.
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