A VP role in Compliance for Securities Services, focusing on independent risk assessment and control testing. Ideal for professionals with extensive experience in compliance, auditing, and regulatory requirements in the financial services sector.
Primary responsibilities include developing and executing compliance testing programs, performing independent assessments of compliance risks and controls across product lines and functions, utilizing data analytics, and reporting findings to management while maintaining strong stakeholder relationships.
Required experience includes several years of compliance testing experience, extensive knowledge of auditing principles, regulatory requirements, and compliance laws. Candidates must demonstrate strong interpersonal skills, ability to work in complex matrix organizations, and possess advanced analytical capabilities with proficiency in MS Office applications.
Citi offers a competitive base salary, hybrid working model (up to 2 days remote), comprehensive benefits supporting employee wellness, and opportunities for professional growth within a global financial institution committed to diversity and inclusion.