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Regulatory Risk Group Manager

at Citibank, N.A. in Schaumburg, Illinois, United States

Job Description

Citibank, N.A. seeks a Regulatory Risk Group Manager for its Schaumburg, Illinois location.

Duties: Require a mix of strong technical and business understanding to conceptualize the projects, draw plans to execute them thoughtfully, forecast specific trends and proactively advise leadership of potential future impacts to influence growth of the business. Develop and design cadence for identifying and monitoring performance metrics and support leadership to review content on a monthly basis for key Portfolio Indicator reviews, Risk committee reviews, as well as Portfolio Quality Reviews with senior leadership.  Involve adhoc analytics for critical decisions, providing business portfolio insights on future trends on a defined cadence to leadership and the Chief Risk Officer of the business.  Lead automation efforts to develop scalable solutions for many of these processes. Provide strategic direction to advanced analytics across the credit life cycle to identify portfolio insights for all portfolios, maintain and review key performance indicators including strategy-level MIS. Provide overview of the analytical requirement, review and manage the analytical outputs team creates specific to credit life cycle reporting process such as Acquisitions, Existing customer management (“ECM”), Authorizations, Line Management and collaborate with the policy teams to ensure implementation of the findings in the business policy. Collaborate with stakeholders to review governance requirements, initiate process automation, and recommend the forecast on the changing performance using data analytics and segmentation techniques. Coach Portfolio Insights Team in implementing Infiniti Timer, Qlikview/Tableau, and other Citi internal tools. Direct the team leads to identify opportunities for automating processes/reports. A telecommuting/hybrid work schedule may be permitted within a commutable distance from the worksite, in accordance with Citi policies and protocols.

Requirements: Requires a Bachelor’s degree (3 or 4 year degree) or foreign equivalent, in Information Technology, Business Administration, Mathematics, Statistics, or related field and 8 years of post-baccalaureate experience as a Credit Portfolio Analyst, Senior Analyst, Data Analyst, Associate or related position involving Credit Risk Management. Must have experience: Credit cards business, end to end credit lifecycle, P & L dynamics and customer profitability; Working experience with SQL querying; SAS Programming in SAS environment, macros, loops; VBA programming and experience with automation and tool development; and Automation and development techniques, Powershell Scripting, MS SQL Server, Qlikview and Tableau Dashboard Development. Salary range: $197,246 to $197,246/yr; 40 hrs/wk. Applicants submit resumes at https://jobs.citi.com/. Please reference Job ID #24773293. EO Employer.

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Job Posting: 12102951

Posted On: Aug 05, 2024

Updated On: Aug 05, 2024

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