Responsibilities include supporting the Cash Management Operations global team, managing cash and collateral utilization across the firm, forecasting and reporting to Treasury, analyzing cash flows, coordinating fund transfers, and ensuring compliance with control policies and procedures.
Candidates should have 0-4 years of experience in Banking/Treasury, a Bachelor's or Master's degree, excellent English skills, strong PC skills in Excel, Word, and Outlook, and a willingness to learn. Attention to detail, interpersonal skills, and a proactive attitude are crucial.
Citi offers a competitive compensation package with benefits including a Cafeteria Program, Home Office Allowance, Private Medical Care, Pension Plan Contribution, Group Life Insurance, flexible work arrangements, learning and development programs, and opportunities for career progression across geographies and business lines.