Dart Risk Reporting Officer (C13) Hybrid Located In

Detalles de la oferta

.**Responsibilities**:- 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. Reporting can cover a variety of areas including but not limited to: portfolio concentrations, limit exceptions, stress testing, loss reserves or high-risk exposures. Roles- 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- Engages with teams across management Reporting to understand current Reporting deliverables.- Conducts process reviews to ensure Reporting processes are efficient and lean.- Understands larger themes across the firm in order to drive standardized views across reporting.- Recognizes what the end-state should Be, but execute smaller steps in order to materialize results quickly.- Works with technology to ensure system enhancements are aligned with the needs of management reporting.- Supports management with preparation of materials tracking automation progress.- Trains new team members in standard methodologies and tools.- Has the ability to operate with a limited level of direct supervision.- Can exercise independence of judgement and autonomy.- Acts as SME to senior stakeholders and /or other team members.**Qualifications**:- 6-10 years consulting experience preferred.- Highly experienced with Excel, VBA, SQL / programming**Education**:- Bachelor's/University degree, Master's degree preferredDART (Data, Analytics, Reporting & Tech) is the leading risk modeling and data analytics team in Citi. We use mathematical modeling and the latest technologies to calculate risk for the largest portfolios in Citi. We use visualizations and dashboards to communicate risk to senior stakeholders. Our models and analytics ensure that the bank has adequate capital during crisis.**Responsibilities**:- Prepare regular and time sensitive analytics, visualizations, and reports for risk managers and senior management.- Synthesize and communicate complex risk exposures and metrics.- Analyze, implement, and automate underlying data, data flows, and data controls to enhance processes and efficiency.**Qualifications**:- Undergraduate or master's degree in finance, business, economics, engineering, sciences, or other related technical disciplines.- Minimum 6 years consulting experience areas such as Finance, Markets, Risk Management.- Experience in risk modeling and data analytics- Advanced English level- Skills in data, analytics, databases, data quality.- Experience in Tableau, PowerBI or equivalent.- Coding in Python, R, SAS (or related statistics programs) preferred, but not required.**Education**:- Bachelor's/University degree finished. Master's degree preferred


Salario Nominal: A convenir

Fuente: Jobtome_Ppc

Requisitos

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