Risk Identification Lead Analyst, Senior Vice President

Work From Home With CiCi

Dublin, Ireland
Base: €109,920.00 - €164,880.00 annually reviewed;...
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10+ years financial research experience
Deep knowledge of bloomberg haver s&p
Expertise in powerpoint excel tableau
** Citi is seeking a Senior Vice President for their Risk Identification team in Dublin, focusing on identifying and analyzing emerging risks in sectors such as Technology, AI, and Banking. The ideal candidate will possess over 10 years of relevant experience and strong analytical skills, with a collaborative work style that includes mentoring junior analysts. **

Job Summary

  • This role leads the proactive identification and monitoring of macroeconomic, market, and sector risks with a focus on Banking, AI, and Commercial Real Estate.
  • The position requires translating complex risk analysis into clear insights for senior leadership while building strategic partnerships with internal data owners.
  • Citi offers a competitive base salary ranging from €109,920.00 to €164,880.00 along with a hybrid working model allowing up to two days at home per week.

Matching Summary

Match Score: 75

** Citi is seeking a Senior Vice President for their Risk Identification team in Dublin, focusing on identifying and analyzing emerging risks in sectors such as Technology, AI, and Banking. The ideal candidate will possess over 10 years of relevant experience and strong analytical skills, with a collaborative work style that includes mentoring junior analysts. **

Salary

Base: €109,920.00 - €164,880.00 annually reviewed; Bonus/Equity: Not specified; Benefits: Competitive benefits supporting well-being, living, and saving

Skills & Requirements

Must-have

  • 10+ years financial research experience
  • Deep knowledge of Bloomberg Haver S&P
  • Expertise in PowerPoint Excel Tableau
  • Experience presenting to senior executives

Nice-to-have

  • Mentoring junior analysts capabilities
  • Collaborative work style preferred
  • Innovative global environment culture

Key Requirements

  • Bachelor's degree in Finance Economics or Business Administration
  • Master's degree preferred
  • 10+ years in financial research or risk management

Work Rights

Not specified

Tailored Resume

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