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Risk Data Operating Model VP

Job Req ID 22507065 Primary Location Tampa, Florida Job Category Risk Management
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The Risk Data Operating Model VP role is a senior-level position responsible for leading activities including support of the timely and accurate definition and execution of Risk requirements defined in the Data Operating Model (DOM) and is part of the Risk Data Operating Model (DOM) Team in the Risk Federated Chief Data Office (FCDO). The role will be responsible for supporting the team’s efforts to ensure that Data Providers fulfill Data Operating Model Consent Order and BAU commitments to Risk and for demonstrating success through production and analysis of Risk Reduction Metrics. Requires a good understanding of strategic direction of Risk processes, systems and reporting, the Citi Data Operating Model, and a solid conceptual/practical grounding in both Risk and Finance Data. Requires excellent data analysis skills, in addition to strong presentation / communication skills required to negotiate internally, often at a senior level.


  • Partner with Risk Data Analytics Reporting & Technology and Risk Management to assist in definition of scope, risk reduction metrics, issues, and data requirements for Risk, including Wholesale, Retail, Price and Operational Risk Types.
  • Partner with Risk Data Analytics Reporting & Technology, Risk Management and Data Providers to assist in monitoring delivery of Tactical and Strategic Fixes as required by the Citi Data Operating Model (DOM) for Risk use-cases.
  • Tracking the delivery of the Data Provider Chevrons as defined in the Risk Data Plan, including tactical fixes to high priority data quality issues
  • Monitoring progress against risk reduction metrics linked to the Risk use-cases; documenting and escalating  any risks, issues or challenges that might impact our ability to meet those targets.
  • Partner with DART, Risk and Data Provider to assist with monitoring issues raised outside of the DOM via the Data Concern Remediation Management process to ensure that issues are appropriately prioritized and do not negatively impact progress toward Risk Reduction Targets.


  • 8+ years of experience in risk and/or finance information analytics, preferable with implementation of data management related initiatives 
  • Proficient in development and senior usage of portfolio credit risk MIS, Strong understanding of key credit risk performance metrics,  and general banking concepts
  • Ability to work across all levels of management and across functions to accomplish the mission
  • Knowledge of risk management and reporting processes and an understanding of Wholesale Credit and Market Risk. Experience in risk data, risk and financial platform implementations and managing risk systems.
  • Strong analytical and problem-solving skills, appreciation of the enterprise data vision.
  • Self-motivated with the ability to make decisions in absence of detailed instructions.
  • Ability to influence senior Risk, Finance, and business stakeholders. Ability to effectively communicate, both upwards and downwards, across organizational levels.
  • Flexible, team-oriented with excellent interpersonal and collaborative skills.
  • Experience with tracking, planning, monitoring, and reporting on concurrent, multiple projects. 


  • Bachelor's degree/University degree or equivalent experience
  • Master's degree preferred


Job Family Group:

Risk Management


Job Family:

Credit & Portfolio Risk Management


Time Type:

Full time


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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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