.**Responsibilities**:- Reviewing and approving valuations and restructuring analysis for stressed and distressed assets and situations, including the determination of write-off, reserve and risk of loss amounts that directly impact the P&L of the firm; - Providing guidance andstrategic / tactical thought leadership on the assessment of liquidity, debt capacity and other areas of financial and operating performance to evaluate areas of weakness and potential for turnaround, which is measured by setting and monitoring appropriate classification triggers; - Working closely with Region Heads and senior members of Risk and Business to ensure coordination on the restructuring/valuation process and situations and escalating any potential issues- Tracking ongoing performance of classified credits and reporting to senior credit and business management; - Providing thought leadership on policy and procedural matters that affect Remedial Managment and driving solutions; and- Participating in and leading Citigroup-level and Business-level policy-based initiatives and special projects- Reporting to Seniors, manage exposures from early problem recognition through to full restructuring or insolvency recovery, including appropriate risk rating, classification and carrying values.- Demonstrates effective communication with the issuer and all relevant constituents to ensure awareness of the problems and potential solutions, including fresh equity, disposals, refinancing or restructuring- Assess financial and operating performance to evaluate weaknesses and potential for turnaround and to evaluates liquidity requirements and debt capacity- Partner with the Valuation Team, in modeling and assessing companies' financial position to assesses appropriate debt structure and accurate debt value (using the most appropriate valuation methodology)- Assist, lead and/ or influence the structuring and negotiation of term sheets (dependent upon experience)- Engage and lead the restructuring team comprised of lawyers, accountants, banks, and creditor groups, occasionally as part of a creditors' committee- Partner with and influence decision making among internal businesses and product areas - including senior management- Conducts risk management of the classified portfolio including monitoring performance of assigned accounts and forecasting exposures for capital and asset quality purposes- Provides Coaching, developing and mentoring- Manage the team structure by understanding personnel needs, seeking organizational support, recruiting and retaining talented members of the team- Manages a remedial/recovery team that is responsible for structuring, analyzing, approving, and resolving a commercial portfolio of focused sub-performing, non-performing, and off strategy transactions consisting of varying degrees of credit risk, structure complexity, and customer profile