Citi is an equal opportunity and affirmative action employer. We made it a priority to foster a culture where the best people want to work, where individuals are promoted based on merit, where we value and demand respect for others and where opportunities to develop are widely available to all.
Product Control is the largest department in Finance group in Warsaw with responsibility for controlling daily profit and loss reporting, price verification and new trading activity and represents primary control function in those areas.
The Department is organized into product-aligned teams such as credit, FX, equity, money markets, rates, cash, derivatives, as well as structured and exotic variants of different asset classes.
Our Poland office is deeply integrated part of the EMEA regional hub, establishing direct contact with the business and finance areas in the regional centre.
This specific senior analyst position falls under Capital Markets Origination team which controls the business which is responsible for execution of global debt and equity underwriting transactions as well as structuring of large M&A deals.
The role will encompass:
Full end-to-end Product Control process (including revenue recognition, reporting and breaks investigation) as well as new business initiative
Supporting the Product Control Policy and Control Framework covering Profit Attribution Analysis (PAA), New Trade Reviews, P&L Commentary and Front to Back reconciliations
Liaising with multiple stakeholders across the organization on daily basis
Work in a challenging area of the financial industry with one of the world's leading companies with exposure to variety of products, processes and controls
Cooperation with a high quality, international, multicultural and global team
Work in a friendly and diversified environment, appreciating differences in style and perspective and using them to add value to decisions leading to organisational success
Management supporting balanced and agile work (flexible working hours, home office)
Attractive benefits package (Benefit System, medical care, pension plan etc.)
A chance to make a difference with various affinity networks and charity initiatives
University or College degree
3+years of relevant work experience in Finance/Risk, or a
role with significant product exposure such as Risk Management, Middle
Office, Finance or Audit
Strong analytical background
oriented and control focused
Proactive, able to prioritise,
Ability to meet tight reporting
and project deadlines
Strong English communication
skills - written and oral
Strong PC skills, in particular
Excel, VBA (not essential)
Interest in capital markets and
accounting is a plus