Product Control Senior Analyst
The Market Control & BMK Rates Team is a part of Product Control Unit in Finance Department.
The Team is responsible for controlling of Treasury Department activities in term of market conditions for all concluded transactions and their valuation in the Book, considering correctness of pricing from valuation model perspective. We work closely across Benchmarks Regulations and controlling with main focus on Wibor process and Fallback Plan. The Expert will be responsible for performing regular controls for benchmarks /Wibor processes, rate reasonability for financial instruments and other Regulatory processes in term of Bond and derivatives products.
The Product Control Senior Analyst will have:
Unique opportunity to gain strong technical knowledge of a full range of investment banking products.
Equal opportunity as all of our colleagues to climb up the career ladder.
Freedom to succeed in a dynamic environment: creative and innovative ideas are encouraged and recognized.
A positive and inclusive work environment in which diversity and cross-functions work-streams are key components.
Possibility to Agile and Flexible working.
Opportunity to participate in process reengineering and digitization.
opportunity to be part of a socially active team: the chance to participate in regular charity events.
Responsibilities:
You will be responsible for performing Rate Reasonability Control in order to confirm correctness of financial contract from market conditions perspective and client spreads.
Dealing with BMK/BMR processes to meet GPW Benchmark Regulation, including daily control processes for Wibor and Reference Rates.
Preparing monthly presentation with control results for the following subjects: WIBOR/SKM , Treasury Markets Activities (MTM)
Performing controls for Bond Spot submission.
Checking FCY bond portfolio from ccy hedging perspective.
Dealing with self-assessments controls and End User Computing rules.
Support standardization efforts and work on projects to implement process improvement ideas.
Conducting of complex analysis of various transactions and its impact on the overall BHW position and PL
Work closely with all areas of the Finance Department, liaising with the Business, Risk Management, Operations and IT teams
Use effective escalation to ensure issues are highlighted in a timely manner. Focus on recurring issues and drive through enhancement projects and systems fixes.
Develop an enquiring and questioning mindset.
Appropriately assess risk, demonstrating particular consideration for the Bank's reputation and safeguarding Bank, its clients and assets, by driving compliance with applicable laws, rules and regulations.
Qualifications:
Minimum of 6 years of experience in Finance, preferably PC (similar role)
University degree in Economics is an advantage but not a must and we are open to other majors
Responsibility for people and processes
Good Verbal and written English and Polish
Strong analytical and communication skills
Control and risk managing
Citi Handlowy offers:
Job contract and social benefits (private medical care, fitness card, life insurance, pension programme, co-financing of cultural and entertainment events and more. Full list can be found here: www.karierawciti.pl under Benefits for you and Benefits for your loved ones sections)
Access to e-learning platform (Degreed) as well as English learning platform
Possibility to gain globally appreciated work experience
Flexible and partly-remote working conditions
This role is located at Citi Handlowy (Bank Handlowy w Warszawie SA), please read our privacy policy: BankHandlowyPolandPrivacyNotice
Please read the information about internal reports procedure – Whistleblowers Protection Act: BankHandlowyPolandWhistleblowersProtectionAct
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Job Family Group:
Finance------------------------------------------------------
Job Family:
Product Control------------------------------------------------------
Time Type:
Full time------------------------------------------------------
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