This role is responsible for conducting detailed financial risk analysis, designing complex reports and visualizations for Treasury, Risk, and Finance stakeholders. Primary responsibilities include presenting critical data on Interest Rate Risk exposures, analyzing balance sheet movements, portfolio structures, and market factors to support strategic decision-making.
The ideal candidate should have 7+ years of experience in finance/risk analytics, with strong knowledge of market risk concepts, fixed income products, and risk metrics. Proficiency in analytical tools like Tableau or Power BI is crucial. Candidates must demonstrate exceptional problem-solving skills, attention to detail, and the ability to communicate complex financial insights effectively to senior management.
Citi offers a competitive compensation package including a cafeteria program, home office allowance, private medical care, pension contributions, and group life insurance. The role provides continuous career progression opportunities, flexible work arrangements, access to learning platforms, and an inclusive corporate culture that supports professional development and work-life balance.