在iCERT上查PERM状态# EB23 - 劳工卡
W*i
1 楼
请各位仔细阅读JD再投简历,谢谢。
简单说:
1.给CITI自己的投资相关部门做固定收益和外汇交易衍生品的核算相关的工作。不面对
客户,属于buy side的支持职能。
2.6年工作经验的要求也没有那么硬性了,但起码也得有4年相关工作经验。本科学历
就行,master也可以。
3.纽约,下城,打算长期在美国的, 再考虑。 想随便干干,存点经验就走人的,请绕
行。
4.职位根据实际情况定,基本是AVP或VP
回我公司信箱c********[email protected]
Job Description
Brief Description of the Organization The Global Function units at Citi
include Audit & Risk Review, Compliance, Control & Emerging Risk, AML, Citi
Security and Investigative Services (CSIS), Finance, Strategy, M&A, Investor
Relations, Global Public Affairs, Human Resources, Legal, Risk Management,
Global Community Development and Microfinance. These functions provide
critical support to the Citi business units. Citi, the leading global
financial services company, has some 200 million customer accounts and does
business in more than 100 countries, providing consumers, corporations,
governments and institutions with a broad range of financial products and
services, including consumer banking and credit, corporate and investment
banking, securities brokerage, and private banking. Additional information
may be found at www.citigroup.com or www.citi.com.
CTI Product Analysis - Investment Portfolio Analyst-14022639
Description
CTI Product Analysis - Investment Portfolio Analyst
Job Description
The CTI Product Analysis – Investment Portfolio Analyst in Corporate
Treasury is a key member of the Treasury Finance team who will be
responsible for supporting the day-to-day business functions for the CTI
Investment portfolio across the Rates, FX and Credit portfolios. The role
requires ongoing monitoring all investments including securities and
derivatives with additional responsibility for oversight of the CTI Asset
Transfer Pricing process. The Portfolio Analyst will be expected to provide
day-to-day review and explanation of the risks, controls, positions, P&L,
economic value, cost to close, etc, related to the CTI Investment Securities
portfolio. He/she is a key decision support person on all finance
matters for the portfolio managers and desk heads. He/she will be
responsible for various management reports, forecasting processes, and
support for other finance and front office teams.
Job Background
Citi Treasury Investments (CTI) was established in 2011 within Corporate
Treasury to lead the investment of Citi’s major liquidity portfolios with
oversight from Citi’s ALCO. In addition to the management of liquidity
portfolios, CTI is also responsible for management of the USD structural
interest rate positioning for the firm and oversight of macro risks and
hedging requirements. The AFS securities portfolio is comprised of various
investments across a broad range of securities, including US Treasuries,
Agencies and MBS, as well as various credit instruments across both North
America and EMEA. This job will be situated in New York.
Key responsibilities include:
- Analysis of daily P/L for CTI AFS investments including attribution
analysis and explains
- Process and model ownership of all AFS Investment outlook/Plan/CCAR
submissions
- Monthly reporting and analytics on CTI’s AFS portfolio and associated
funding/derivatives
- Management and optimization of the CTI systems infrastructure
- Key decision support to front office for duration, interest rate risk
management, etc.
- Daily interaction with all teams to provide real-time analysis and support
- Actively participate in the process of daily P&L results
- Provide support to various process re-engineering initiatives to improve
controls and gain efficiencies in financial processes as well as reduce P&L
volatility through adoption of best practices.
- Build/assist in the building of models to support the daily process.
- Handle ad hoc requests from senior management and businesses.
Qualifications
- Six plus years of experience with significant time spent in Financial
Analysis/Strategy or Middle Office role at a business unit or corporate
level within a global financial services organization, with a specific focus
on Investment Portfolio related analytics, reporting and monitoring
- Strong financial modeling skills, VBA knowledge a plus.
- Exceptional analytical and problem-solving skills with proven track record
of managing and converting large data sets into business decision making
tools
- P&L experience required; Regulatory experience desired
- Collaborative team player
- Accountable for results
- Proven ability to drive results in a fast paced, matrixed environment
- Ability to establish strong internal relationships across businesses and
functions and to work in partnership with multiple parties to achieve shared
goals
- Excellent written and verbal communication skills
Education Level
Primary Location
Schedule
Shift
Employee Status
Travel
Relocation: No
Grade: C14
简单说:
1.给CITI自己的投资相关部门做固定收益和外汇交易衍生品的核算相关的工作。不面对
客户,属于buy side的支持职能。
2.6年工作经验的要求也没有那么硬性了,但起码也得有4年相关工作经验。本科学历
就行,master也可以。
3.纽约,下城,打算长期在美国的, 再考虑。 想随便干干,存点经验就走人的,请绕
行。
4.职位根据实际情况定,基本是AVP或VP
回我公司信箱c********[email protected]
Job Description
Brief Description of the Organization The Global Function units at Citi
include Audit & Risk Review, Compliance, Control & Emerging Risk, AML, Citi
Security and Investigative Services (CSIS), Finance, Strategy, M&A, Investor
Relations, Global Public Affairs, Human Resources, Legal, Risk Management,
Global Community Development and Microfinance. These functions provide
critical support to the Citi business units. Citi, the leading global
financial services company, has some 200 million customer accounts and does
business in more than 100 countries, providing consumers, corporations,
governments and institutions with a broad range of financial products and
services, including consumer banking and credit, corporate and investment
banking, securities brokerage, and private banking. Additional information
may be found at www.citigroup.com or www.citi.com.
CTI Product Analysis - Investment Portfolio Analyst-14022639
Description
CTI Product Analysis - Investment Portfolio Analyst
Job Description
The CTI Product Analysis – Investment Portfolio Analyst in Corporate
Treasury is a key member of the Treasury Finance team who will be
responsible for supporting the day-to-day business functions for the CTI
Investment portfolio across the Rates, FX and Credit portfolios. The role
requires ongoing monitoring all investments including securities and
derivatives with additional responsibility for oversight of the CTI Asset
Transfer Pricing process. The Portfolio Analyst will be expected to provide
day-to-day review and explanation of the risks, controls, positions, P&L,
economic value, cost to close, etc, related to the CTI Investment Securities
portfolio. He/she is a key decision support person on all finance
matters for the portfolio managers and desk heads. He/she will be
responsible for various management reports, forecasting processes, and
support for other finance and front office teams.
Job Background
Citi Treasury Investments (CTI) was established in 2011 within Corporate
Treasury to lead the investment of Citi’s major liquidity portfolios with
oversight from Citi’s ALCO. In addition to the management of liquidity
portfolios, CTI is also responsible for management of the USD structural
interest rate positioning for the firm and oversight of macro risks and
hedging requirements. The AFS securities portfolio is comprised of various
investments across a broad range of securities, including US Treasuries,
Agencies and MBS, as well as various credit instruments across both North
America and EMEA. This job will be situated in New York.
Key responsibilities include:
- Analysis of daily P/L for CTI AFS investments including attribution
analysis and explains
- Process and model ownership of all AFS Investment outlook/Plan/CCAR
submissions
- Monthly reporting and analytics on CTI’s AFS portfolio and associated
funding/derivatives
- Management and optimization of the CTI systems infrastructure
- Key decision support to front office for duration, interest rate risk
management, etc.
- Daily interaction with all teams to provide real-time analysis and support
- Actively participate in the process of daily P&L results
- Provide support to various process re-engineering initiatives to improve
controls and gain efficiencies in financial processes as well as reduce P&L
volatility through adoption of best practices.
- Build/assist in the building of models to support the daily process.
- Handle ad hoc requests from senior management and businesses.
Qualifications
- Six plus years of experience with significant time spent in Financial
Analysis/Strategy or Middle Office role at a business unit or corporate
level within a global financial services organization, with a specific focus
on Investment Portfolio related analytics, reporting and monitoring
- Strong financial modeling skills, VBA knowledge a plus.
- Exceptional analytical and problem-solving skills with proven track record
of managing and converting large data sets into business decision making
tools
- P&L experience required; Regulatory experience desired
- Collaborative team player
- Accountable for results
- Proven ability to drive results in a fast paced, matrixed environment
- Ability to establish strong internal relationships across businesses and
functions and to work in partnership with multiple parties to achieve shared
goals
- Excellent written and verbal communication skills
Education Level
Primary Location
Schedule
Shift
Employee Status
Travel
Relocation: No
Grade: C14