Job
Description
As the Regulatory Reporting Group Manager within Services Operations specializing in Issuer and Investor Services, you will be accountable for the management of complex/critical/large professional disciplinary areas. You will lead and direct a team of professionals, requiring a comprehensive understanding of multiple areas within a function and how they interact to achieve objectives. Your role will involve applying an in-depth understanding of the business impact of technical contributions and maintaining strong commercial awareness. You will be responsible for delivering a full range of services to one or more businesses/geographic regions. Excellent communication skills are essential for negotiating internally, often at a senior level, with some external communication possibly required. Your accountability will extend to the end results of your area, exercising control over resources, policy formulation, and planning. You will primarily affect a sub-function, being involved in short- to medium-term planning of actions and resources for your own area. Full management responsibility of a team or multiple teams will be under your purview, including management of people, budget, planning, performance evaluation, compensation, hiring, disciplinary actions, terminations, and budget approval. **Key Responsibilities:** - Provide regulatory reports across Citibank Services products. - Communicate to executive management the implications of existing and opposed regulations and develop potential responses. - Own regulatory reporting project management including business requirements, analysis, and testing for regulatory solutions delivery. - Analyze new risk-related guidelines, best practice standards, rules, and regulations. - Direct the approach to answering questions and involve appropriate Risk functions in Citi with audits and regulators. - Manage various deliverables for Regulatory Reporting projects and participate in the rationalization of EUCs used for Regulatory Reporting. - Engage significantly with a wide range of senior bank and risk management colleagues, as well as external stakeholders such as regulators/auditors. - Initiate feedback sessions with clients to understand strengths and focused areas, leveraging feedback to influence change throughout the organization. - Identify and sponsor development opportunities for key individuals to gain broad exposure and experience. **Qualifications:** - 10+ years of relevant experience. - Excellent proficiency in Microsoft Office, particularly Excel, PowerPoint, and Word. - Thorough knowledge of financial and regulatory reporting. - Familiarity with the regulatory landscape facing global banks. - Previous experience in managing Regulatory Inspections and Audits within a financial services company. - Project management knowledge and experience working with diverse groups of stakeholders. - Proven relationship management skills with the ability to deepen relationships and build partnerships. - Proficient in English speaking, reading, and writing. *Education:* - Bachelor's/University degree, Master's degree preferred. This job description provides a high-level overview of the work performed. Other job-related duties may be assigned as required.,