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Assistant Vice President

2 months ago


Tampa, Florida, United States Citigroup Inc Full time
About the Team:
DART (Risk Data, Analytics, Reporting & Technology) stands at the forefront of risk modeling and data analytics within Citigroup Inc. Our team employs advanced mathematical techniques and cutting-edge technologies to assess risk across the bank's extensive portfolios. We utilize sophisticated visualizations and dashboards to effectively convey risk insights to senior management. Our analytical frameworks ensure that the institution maintains sufficient capital during periods of financial stress.

Role Overview:
As a member of the Wholesale Credit Loss Forecasting Analytics Team, you will engage in the development of statistical models essential for reserve calculations (CECL & IFRS 9) and regulatory stress testing (CCAR, ICAAP, among others). This position presents significant opportunities for professional growth while contributing to both local and global initiatives.

Key Responsibilities:
  • Conduct research, development, and validation of wholesale expected credit loss models to meet CECL credit loss reserve requirements, CCAR regulatory stress testing, and additional internal assessments.
  • Implement credit loss models using Python or other programming languages for execution, testing, and analytical support.
  • Prepare comprehensive quantitative modeling and analyses for risk management and senior leadership.
  • Effectively communicate complex risk models and findings through written reports and live presentations.
  • Perform statistical analyses, quantitative modeling, and model risk management.
  • Collaborate with risk managers, business units, and technology teams to design and develop models for risk assessment and stress testing.
Qualifications:
  • Bachelor's degree or equivalent professional experience.
  • 5-8 years of relevant experience in risk analytics or a related field.
  • Proficient in Microsoft Office, particularly Excel.
  • Strong written and verbal communication skills.
  • Detail-oriented and self-motivated.
  • Demonstrated organizational and project management capabilities.
Preferred Qualifications:
  • Master's degree in a quantitative discipline (e.g., Mathematics, Physics, Computer Science, Econometrics, Statistics, Economics, Finance).
  • Familiarity with wholesale credit products and reserve calculations in accordance with CECL/IFRS 9, as well as bank stress testing methodologies (CCAR/ICAAP).
  • 2+ years of experience in quantitative financial modeling, research, and model development.
  • Proficiency in Python programming; knowledge of Linux is advantageous.
What We Offer:
  • Engagement in a challenging sector of the financial industry with one of the world's leading organizations, gaining exposure to a diverse array of products, processes, and controls.
  • Collaboration with a high-caliber, international, and multicultural team.
  • A supportive and inclusive work environment that values diverse perspectives and styles, enhancing decision-making and organizational success.
Job Family Group: Risk Management
Job Family: Risk Analytics, Modeling, and Validation
Time Type: Full time
Salary Range: Competitive salary and benefits package.