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Primary Location: United States,Florida,Tampa
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Education: Bachelor's Degree
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Job Function: Finance
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Schedule: Full-time
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Shift: Day Job
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Employee Status: Regular
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Travel Time: No
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Job ID: 19011683
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Collaborate with partners and stakeholders across Finance, Operations & Technology (O&T), and Finance & Risk Infrastructure (FRI) to understand and decompose current state reporting processes, develop, articulate and document business requirements, and design and map out future state standard and streamlined systems and processes.
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Partner with the Derivative product lead to manage the Liquidity Transformation project and drive key initiatives and milestones.
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Demonstrate the ability to drive and influence actions and decisions with partners and stakeholders without having direct managerial responsibility over resources.
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Analyze data and system logic to identify issues and gaps, troubleshoot, and build proposed solutions.
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Partner with Treasury Global Process Owner (GPO), Business and Corporate Treasury, Technology and end users in Finance and Risk Shared Services (FRSS) to understand pain points in existing reporting operations and develop solutions that deliver measureable benefits.
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Review liquidity regulatory requirements, decompose regulation into available data elements in GENESIS (contractual data warehouse) and GLRS, and support data gap analysis.
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Plan and develop scalable data quality, systemic and process solutions that can support the current and future regulatory reporting requirements.
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Comply with Citi-wide Key Initiative standards, including the creation of key deliverables with signoffs secured from required stakeholders in a timely manner.
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Develop end user documentation that will provide training and support when new functionality is being transitioned to FRSS.
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A willingness and desire to master the liquidity subject matter at a detailed business level to enhance value add during business requirements discussions.
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BS/BA required (MS/MBA a plus)
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5+ year’s prior experience in financial services or equivalent experience in a consultancy role within finance industry (liquidity reporting experience a plus).
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Strong conceptual understanding of Derivative products, the corresponding cash flows and impact to liquidity of banks and financial institutions.
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Strong analytical and problem-solving skills; capable of performing end-to-end analysis to identify gaps and potential solutions.
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Quick learner with the ability to grasp and master new subject matter concepts.
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Strong ability to lead and actively participate in audio/video conference calls, meetings, working sessions, collaborating with key partners and stakeholders, and building consensus across levels of seniority.
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Willingness to ask questions and challenge existing beliefs and processes for operational efficiencies and process improvement.
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Strong understanding of financial systems, system logic and processes, data flows and data management concepts.
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Expert proficiency in Microsoft Excel (Access a plus), including graphing pivot tables, reference functions and data analysis.
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Intermediate proficiency in Microsoft Project, including creation of milestones, dependencies and tracking a project plan baseline.