The FR Y-14 Actuals Reporting Vice President is a professional responsible for driving quality controls activities across the FR Y-14 (Q/M/A) schedules as well as to develop materials supporting the CCAR CFO attestation.
Responsibilities:
This individual will be responsible for performing the below functions across the FR Y-14 Schedules and broader CCAR datasets
- Lead and support QC activities, including the development / implementation of a QC framework (eg. reconciliations, variance analysis, periodic schedule QC, adjustments review, EUC verification and DQ diagnostics).
- Develop and use analytical tools (eg. SQL, Tableau, Etc.) to visualize risk and inform management decisions
- Deliver risk and data quality insights through verbal, written and interactive digital content to key stakeholders
- Review / assess existing FR Y-14 related issues (eg. DQ, accuracy, conformance) and present to senior management.
- Develop attestation materials and dashboards for senior management summarizing the results of the review prior to submission
- Support / drive technology implementations to support automation.
- Creation / presentation of materials to support CFO attestation.
The FR Y-14 Actuals Reporting VP will work closely with numerous key stakeholders throughout the organization, including Risk, Data Services, Finance, the Regulatory Reporting Interpretive Office, GCB and ICG Businesses, Regulators, and senior business leaders.
Qualifications:
Experience:
- 6+ years of work experience in Financial/Regulatory Reporting/Risk Management (Credit, Market or Liquidity) function within a major global financial institution
- Regulatory reporting experience (eg. FR Y-14, FR Y-9C)
- Proven track record analyzing complex financial reporting items in a high profile environment and developing/deploying analytics frameworks within a large financial institution
- Familiarity with Risk and Finance reporting data infrastructures and platforms (Citi systems knowledge preferred) across multiple products, functions, and/or businesses preferred.
- Project Management or Senior BA experience within a major global financial institution
Professional Skills:
• Strong proficiency in extracting and analyzing large data sets from databases
• Experience dashboarding tools like Tableau (preferred)
• Strong product knowledge in Derivatives and/or Trading (and related FRY14 schedules, preferably attained through working in risk management, finance, regulatory reporting or operations. (preferred)
• Strong analytical and problem-solving skills, including the ability to assimilate large amounts of information to arrive at well-reasoned decisions
• Strong verbal and written communication skills, with the ability to present complex concepts in a concise manner
• Detail-oriented with strong organizational skills
• Strong interpersonal skills, able to leverage relationships and work collaboratively across the organization
• Strong work ethic and ability to work in a fast-paced environment
• Ability to manage multiple priorities and tasks, and escalate, voice concerns or raise questions
Education:
• Bachelor's degree/University degree with a major in Accounting, Finance , Financial Engineering , Mathematics or Statistics
• CPA/CFA/FRM Qualifications are a plus
This job description provides a high-level view of the types of work performed. Other job-related duties may be assigned as required.
We are currently working on a hybrid schedule consisting of 2-3 days in office and the remainder remote (specific details depend on location and business group). This is not a remote only role.
Salary Range
$100,430-$150,650
Job Family Group:
Finance
Job Family:
Financial Reporting
Time Type:
Full time
Primary Location:
Tampa Florida United States
Primary Location Salary Range:
$96,570.00 - $144,850.00
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