- Citigroup, Inc. (Getzville, NY)
- The Liquidity Management Lead Analyst is an individual contributor position within the Treasury Organization. The individual will drive the production needs and ... support various workstreams in the execution of the Liquidity Management framework at Citi, which includes...and analytics of the balance sheet and interest rate risk management of consolidated Citigroup and Citibank,… more
- Citigroup (Charlotte, NC)
- …assessing and incorporating changing business, regulatory and market information needs into liquidity risk management processes + Applies in-depth knowledge ... The Liquidity Management Lead Analyst is an...allocation of work within the team/project. + Appropriately assess risk when business decisions are made **Qualifications** : +… more
- Citigroup (Getzville, NY)
- The Balance Sheet Mgmt Ld Analyst is a strategic professional who stays abreast of developments within own field and contributes to directional strategy by ... Transfer Pricing. **Other Relevant Skills** Assessment, Credible Challenge, Regulatory Compliance, Risk Management . **Anticipated Posting Close Date:** Jul 04,… more
- Citigroup (Getzville, NY)
- …Transfer Pricing. **Other Relevant Skills** Assessment, Credible Challenge, Regulatory Compliance, Risk Management . _Citi is an equal opportunity employer, and ... **The Balance Sheet Mgmt Sr Ld Anlst is a...of the balance sheet. This includes** **Participates in managing liquidity and interest rate risk , the capital/legal… more
- Citigroup (Charlotte, NC)
- …balance sheet management and the evolving regulatory landscape impacting a bank's management of interest rate risk , liquidity , and capital. Requires a ... sheet management and the evolving regulatory landscape impacting a bank's management of interest rates, liquidity , and capital resources + Proven ability… more
- Citigroup (Charlotte, NC)
- The Balance Sheet Mgmt Sr Ld Anlst is a...Management team within Citi Treasury and Citi Market Risk Management to understand the drivers of ... understand the actions taken by that group to execute management of interest rate risk . + Prepare...period Plan updates and outlooks, CCAR/DFAST and Funding and Liquidity Plan. + Coordinate with country treasurers on balance… more