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Basel Advanced Approaches Results and Analytics – Senior Group Manager (C15)

Job Req ID 22560395 Location(s) New York, New York Job Category Risk Management
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Job Description

The Basel Advanced Approaches (BAA) Results and Analytics senior manager leads the coordination, aggregation, and dissemination of RWA calculated under the advanced approaches for Wholesale Credit, Retail Credit, Market Risk, and Operational Risk. The role sits within Citi Independent Risk Management and is also responsible for the RWA analytics and associated reporting packages for senior risk governance forums.

Key Responsibilities:

  • Working and collaborating across risk stripes (that is, Credit, Market and Operational Risk) and other stakeholders (Finance) to consolidate RWA for regulatory capital reporting
  • Ensure Advanced RWA calculations and Reporting process, Governance and Controls Framework is well-defined, transparent, and documented in a comprehensive manner
  • Define, develop, and establish robust controls for the RWA cross asset aggregation processes that can effectively demonstrate Basel regulatory capital reporting is transparent and comprehensively documented
  • In partnership with the risk stripes, define, develop, and implement RWA analytics for Senior review across all three lines of defense
  • Provide thought leadership and requirements for analytics and techniques using Artificial Intelligence and Machine Learning tools that enhances further transparency to the advanced RWA calculations and reporting process 
  • Provide appropriately conservative solutions from a Regulatory Compliance perspective, in partnership with Business, Risk, and Finance teams
  • Presentation and interpretation of the roles and responsibilities related to Basel Advanced Approaches to the Independent Risk Management and Finance organizations and enterprise-wide in the lines of business and legal entities, as well as to regulators, external and internal audit

Key Requirements and Qualifications:

  • 10+ years of experience including significant exposure to analytical methodologies and modeling frameworks for risk measurement and regulatory capital calculations of market and credit risks and establishment of risk and control processes in top-tier global financial institutions.
  • Thorough understanding of regulatory requirements for governance and internal control processes - across a combination of market risk, wholesale, counterparty, and retail credit risk
  • Ability to influence and lead across cultures at subject matter specialist and executive levels using sound judgment and to execute effectively across businesses, functions, and geographies
  • Strong organizational skills with ability to strategically structure the policy, standards, procedures and practices including designing target state, implementation and appropriate risks and controls
  • Excellent written and verbal executive level communication skills with the ability to articulate complex problems and policy interpretations through concise and clear messaging
  • Highly motivated with attention to detail, team oriented, organized, pro-active
  • Ability to assess complex issues through root cause analysis and other analytical techniques; structure potential solutions; drive to resolution with senior stakeholders


  • Advanced analytical training (Masters or PhD) in economics, finance, math, engineering or hard sciences a plus

Primary Location Salary Range:

$170,000.00 - $300,000.00


Job Family Group:

Risk Management


Job Family:

Regulatory Risk


Time Type:

Full time


Primary Location:

New York New York United States


Primary Location Salary Range:

$170,000.00 - $300,000.00


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Effective November 1, 2021, Citi requires that all successful applicants for positions located in the United States or Puerto Rico be fully vaccinated against COVID-19 as a condition of employment and provide proof of such vaccination prior to commencement of employment.

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