Credit Risk Analytics Intmd Analyst-C11

4 - 8 years

0 Lacs

Posted:1 week ago| Platform: Shine logo

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Work Mode

On-site

Job Type

Full Time

Job Description

The Credit Portfolio Intermediate Analyst position at Citi involves conducting credit reviews, approvals, and monitoring the portfolio to identify credit migration in coordination with the Risk Management team. The main objective is to manage Citi's portfolio exposure to clients and counterparties globally. Responsibilities include resolving issues, integrating specialty area knowledge with industry standards, serving as an industry expert and advisor, analyzing and approving counter-party credit limits, developing risk management frameworks, advising businesses and clients on transaction structures, and operating with a limited level of direct supervision. The role also involves exercising independence of judgment and autonomy, acting as a subject matter expert to senior stakeholders, and appropriately assessing risks in business decisions to safeguard Citigroup's reputation and assets. Qualifications for this role include 4+ years of relevant experience, expertise in financial analysis, accounting, and valuation, as well as demonstrating clear and concise written and verbal communication skills. A Bachelor's degree or equivalent experience is required. In the role summary, the Credit Portfolio Intermediate Analyst is expected to enhance and improve Risk policies using statistical techniques, support tactical and strategic Risk Analytics projects, manage the development and implementation of risk management strategies, apply analytical techniques to customer and transaction data, and effectively communicate key initiatives to senior risk management. Skills required include developing, implementing, and monitoring credit strategies, proficiency in SAS, SQL, Knowledge Studio, SAS E-miner, Excel, and PowerPoint, exposure to project/process management, and strong communication and presentation skills. Qualifications remain the same with 4+ years of relevant experience, financial analysis, accounting, and valuation expertise, and clear written and verbal communication skills. A Master's degree is preferred. This position falls under the Risk Management Job Family Group and specifically under the Portfolio Credit Risk Management Job Family. It is a full-time role.,

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