Wealth Operations, Non-Financial Regulatory Reporting Vice President

Citigroup

Tampa, Florida, United States
Base: $103,920.00 - $155,880.00; bonus/equity: dis...
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6 to 10 years regulatory reporting experience
Sec finra msrb cftc regulatory regimes knowledge
Daily run-the-bank execution and validation
** Citigroup is seeking a Vice President for Wealth Operations, focusing on Non-Financial Regulatory Reporting in Tampa, Florida. This hybrid position requires an experienced professional to oversee regulatory reporting, ensuring accuracy and compliance within the Wealth Management sector. **

Job Summary

  • This role serves as a high-performing individual contributor responsible for the daily execution and oversight of complex non-financial regulatory reports for Citi Wealth.
  • The position requires deep expertise in Americas NFRR regimes including SEC, FINRA, MSRB, and CFTC while ensuring audit-ready documentation standards are maintained.
  • Candidates will benefit from competitive employee benefits including medical, dental, vision coverage, 401(k), and paid time off packages alongside discretionary incentive awards.

Matching Summary

Match Score: 75

** Citigroup is seeking a Vice President for Wealth Operations, focusing on Non-Financial Regulatory Reporting in Tampa, Florida. This hybrid position requires an experienced professional to oversee regulatory reporting, ensuring accuracy and compliance within the Wealth Management sector. **

Salary

Base: $103,920.00 - $155,880.00; Bonus/Equity: Discretionary and formulaic incentive and retention awards available; Benefits: Medical, dental, vision, 401(k), life insurance, wellness programs, and paid time off

Skills & Requirements

Must-have

  • 6 to 10 years regulatory reporting experience
  • SEC FINRA MSRB CFTC regulatory regimes knowledge
  • Daily Run-the-Bank execution and validation
  • CAT Rule 606/605 N-PX TRACE report preparation
  • Audit-ready documentation and control frameworks

Nice-to-have

  • Global regulatory regime familiarity MiFID EMIR
  • Strategic thinking for complex problem solving
  • Influencing senior executive stakeholders
  • Subject matter expertise in Wealth Management
  • Cross-functional program leadership experience

Key Requirements

  • Bachelor's degree required; Master's or advanced certification preferred
  • 6 to 10 years progressive experience in Regulatory Reporting or Operations
  • Proven track record leading large-scale cross-functional programs
  • Strong working knowledge of SEC FINRA MSRB CFTC regimes

Work Rights

Not specified

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