Risk Reporting Senior Manager
hace 4 semanas
**Responsibilities**:- Contributes to the analysis and preparation of reports for Internal Management, Regulators, Auditors, etc. that detail risks inherent in Credit, Market, Operational or other Risk Portfolios. Reporting can cover a variety of areas including but not limited to: portfolio concentrations, limit exceptions, stress testing, loss reserves or high-risk exposures. Roles- Assists in Credit Bureau Reporting initiatives.- Participates in preparing regular and time-sensitive ad-hoc deliverables to the regulators and senior managements, closely working with industry and regional senior portfolio managers- Provides consolidated reporting regarding Corporate Stress Testing and Risk Capital and Regulatory Stress Testing, including the production of between 25 to 40 weekly risk reports reflecting stress test results.- Provides quantitative risk metrics underlying the reports and design enhancements to the reports.- Maintains the input or data quality of risk management systems to ensure accurate reporting.- Developes quantitative risk management processes designed to meet Citi’s execution of the Federal Reserve’s mandatory stress test known as the Comprehensive Capital Analysis and Review (“CCAR”).- Supports Business As Usual (“BAU”) stress testing and economic risk capital reporting.- Utilizes sophisticated quantitative risk analytics tools to ensure that the risk parameters used to determine stress losses and economic capital are calculated in accordance with both internal Citi and government regulatory requirements.- Analyzes test results and prepare monthly commentary for senior management.- Partners with Risk Systems and Technology teams to jointly design strategic automated solutions and ensure complete, correct, and timely reporting.- Liaises with the office of the Chief Risk Administrative Officer, risk managers, business line managers, model owners, and Finance and Corporate division counterparts to ensure robust execution of the mandatory testing and compliance with all government requirements.- Identifies potential process improvements and capabilities to increase the consistency, transparency, and reliability of our stress testing results.- Has the ability to operate with a limited level of direct supervision.- Can exercise independence of judgement and autonomy.- Acts as SME to senior stakeholders and /or other team members.- Ability to manage teams.**Qualifications**:- At least one year of prior work experience must include: Developing, checking and correcting risk reports utilizing financial greeks- 6-10 years relevant experience**Education**:- Bachelor’s/University degree, Master’s degree preferred**Responsibilities**:- Coordinate and drive CCAR and Stress Testing production, development of review and analytics materials- Escalate and anticipate critical issues, bottlenecks for timely resolution. Drive to meet CCAR and Stress Testing deadlines as per the official calendar- Proactively coordinate different areas Business, Finance, Risk Analytics, Collections, Model Developers and Global teams- Execute rigorous Review and Challenge of all CCAR and Stress Testing activities, workstream adjustments, final model results and qualitative modeling approaches/expert judgment; review and challenge of overlays is a key focus.- Ability to build key relationships with finance, local business and global teams, also to communicate with Auditors and Control Stakeholders- Manage risk levels for the entire credit spectrum across multiple products and retail formats and prepare risk management presentations for senior management- Manage reports and presentation of the results to the Global Senior Management Office and Local and International regulators- Utilize Statistical Analysis System (SAS) to perform risk, financial and data analyses including profiling, sampling, reconciliation, and quality testing- Perform the analysis of all the components of several models under stress macroeconomic environment, in order to design and implement adjustments to models and get a comprehensive understanding of the forecast.- Development, documentation and testing of product models needed as input to Financial Planning and Risk Management forecasts- Develop analytics and analytical tools to help drive understanding of key results by the businesses and senior management, as well as to support the review and challenge execution- Highly motivated, participative team player with a change agent mentality that can provide leadership- Ability to influence people and empower team members to be proactive and focused on partnerships and results- Create a culture of accountability and strict quality control of the data integrity and modeling process- Change agent mentality and ability to work as part of a broader team are very important; identifying gaps and streamlining processes are primary elements of the role**Qualifications**:- Bachelor /University degree in E
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Risk Reporting Manager
hace 1 semana
Ciudad de México Citi A tiempo completo**Responsibilities**:- Contributes to the analysis and preparation of reports for Internal Management, Regulators, Auditors, etc. that detail risks inherent in Credit, Market, Operational or other Risk Portfolios. Reporting can cover a variety of areas including but not limited to: portfolio concentrations, limit exceptions, stress testing, loss reserves or...
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Risk Reporting Officer
hace 2 semanas
Ciudad de México Citi A tiempo completo**Responsibilities**: - Contributes to the analysis and preparation of reports for Internal Management, Regulators, Auditors, etc. that detail risks inherent in Credit, Market, Operational or other Risk Portfolios. Reporting can cover a variety of areas including but not limited to: portfolio concentrations, limit exceptions, stress testing, loss reserves or...
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Risk Reporting Senior Manager
hace 2 días
Ciudad de México, CDMX Citi A tiempo completo**Responsibilities**: - Contributes to the analysis and preparation of reports for Internal Management, Regulators, Auditors, etc. that detail risks inherent in Credit, Market, Operational or other Risk Portfolios. Reporting can cover a variety of areas including but not limited to: portfolio concentrations, limit exceptions, stress testing, loss reserves...
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Senior Manager, Lac Supervision and Risk Governance
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Ciudad de México Visa A tiempo completo**Company Description**Visa is a world leader in payments and technology, with over 259 billion payments transactions flowing safely between consumers, merchants, financial institutions, and government entities in more than 200 countries and territories each year. Our mission is to connect the world through the most innovative, convenient, reliable, and...
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Market Risk Senior Manager
hace 2 semanas
Ciudad de México Citi A tiempo completo**Responsibilities**:- Working with each trading desk to ensure that all relevant market risk factors are properly identified and formally captured in official risk systems- Working with senior risk managers in Volcker compliance program- Developing and maintaining an appropriate automous market risk limits framework with applicable limits and triggers-...
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Banamex Risk Reporting Sr Group Mgr
hace 1 semana
Ciudad de México Citi A tiempo completo**Responsibilities**: - Contributes to the analysis and preparation of reports for Internal Management, Regulators, Auditors, etc. that detail risks inherent in Credit, Market, Operational or other Risk Portfolios. Reporting can cover a variety of areas including but not limited to: portfolio concentrations, limit exceptions, stress testing, loss reserves or...
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Senior Manager, Reporting and Analytics
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Ciudad de México, CDMX GSK A tiempo completo**Site Name**: Poznan Grunwaldzka, Mexico City Torre Mitikah, Mississauga Milverton Drive **Posted Date**: Oct 31 2024 **Senior Manager, Reporting and Analytics** The Global Regulatory Operations Reporting Senior Manager at GlaxoSmithKline (GSK) is responsible for leading and managing the development, implementation, and maintenance of reporting services...
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Analista Market Risk Reporting
hace 3 semanas
Ciudad de México Citi A tiempo completoThe Risk Reporting Intmd Analyst is a developing professional role. Deals with most problems independently and has some latitude to solve complex problems. Integrates in-depth specialty area knowledge with a solid understanding of industry standards and practices. Good understanding of how the team and area integrate with others in accomplishing the...
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Ciudad de México Citi A tiempo completo**Responsibilities**:- Contributes to the analysis and preparation of reports for Internal Management, Regulators, Auditors, etc. that detail risks inherent in Credit, Market, Operational or other Risk Portfolios. Reporting can cover a variety of areas including but not limited to: portfolio concentrations, limit exceptions, stress testing, loss reserves or...
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Citi Market Risk Reporting Data Lead
hace 1 semana
Ciudad de México Citigroup A tiempo completo**Key Responsibilities**: **Data Governance**:Lead the Market Risk Data Domain Governance for critical data elements, including data lineage and data concerns, in partnership with the Market Risk Enterprise Data Office and Market Risk Management.**BCBS 239 Compliance**:Drive improvements in the Market Risk data program to ensure compliance with BCBS 239...