Senior Vice President - Global Credit Reserve Sr. Lead Analyst - Risk Management (Hybrid)

Citigroup

Mississauga, Ontario, Canada
Base: $141,600.00 - $212,400.00; bonus/equity: not...
Hybrid
10+ years of risk management experience
Credit portfolio oversight and analysis
Cecl and ifrs 9 regulatory knowledge
Citigroup is seeking a Senior Vice President - Global Credit Reserve Senior Lead Analyst for Risk Management in a hybrid work environment. The role involves overseeing credit reserving approaches, ensuring compliance, and enhancing risk management strategies to safeguard the company's financial stability

Job Summary

  • The role involves overseeing the firmwide credit reserving approaches including CECL and IFRS 9 to ensure financial stability.
  • Candidates will supervise risk management activities, conduct rigorous internal reviews, and manage audits to uphold institutional integrity.
  • This position requires a leader who can drive strategic decisions, collaborate across teams, and effectively communicate complex risks to senior management.

Matching Summary

Match Score: 85

Citigroup is seeking a Senior Vice President - Global Credit Reserve Senior Lead Analyst for Risk Management in a hybrid work environment. The role involves overseeing credit reserving approaches, ensuring compliance, and enhancing risk management strategies to safeguard the company's financial stability.

Salary

Base: $141,600.00 - $212,400.00; Bonus/Equity: Not specified; Benefits: Global benefits offered

Skills & Requirements

Must-have

  • 10+ years of risk management experience
  • Credit portfolio oversight and analysis
  • CECL and IFRS 9 regulatory knowledge
  • Internal audit and regulatory exam management
  • Macroeconomic scenario review and stress testing

Nice-to-have

  • Early adopter of change and innovation
  • Strong stakeholder collaboration skills
  • Ability to challenge unpopular views constructively
  • Process improvement and efficiency mindset
  • Ethical judgment in complex situations

Key Requirements

  • Bachelor's degree required; Master's preferred
  • 10+ years of experience in risk management
  • Hands-on experience with credit portfolios and modeling
  • Experience directing internal and external audits

Work Rights

Not specified

Tailored Resume

Cover Letter