Risk Management Sr Analyst - AVP - BOGOTA
Risk Management Sr Analyst - AVP - BOGOTAApply remote type Hybrid locations Bogota Colombia time type Full time posted on Posted 3 Days Ago time left to apply End Date: December 25, 2024 (3 days left to apply) job requisition id 24816321
The Risk Management Analyst is an intermediate-level position reporting to the Latin America Credit and Portfolio Risk Manager. This position will support the Risk Management Country Officer (RMCO) in Colombia, to work closely across all lines of defense to ensure the Enterprise level activities & roles and responsibilities of the RMCO are fulfilled in adherence to Citi Global Policies and Standards, as well as applicable Local Regulations.
Citi's RMCOs are Risk Professionals that serve as the single point of contact for franchise-level Risk matters in each country across all risk categories. They play a critical role in oversight of review and challenge performed by Independent Risk Management and serve as key Risk partners to the respective Country Coordinating Officers and CEOs.
The Risk Management Analyst will also support specific credit reviews, stress test exercise and portfolio monitoring in coordination with the Risk Management team.
Responsibilities: Support the RMCO in executing Legal Entity Oversight and Lines of Defense implementation with ongoing supportAdhere to defined processes to execute scoped activities to ensure risk management activities remain under a strong control environmentUnderstanding of Colombian regulations and Citi Policies linked to activities under the analyst's responsibilityUnderstand Citi Tools and country specifics to be able to support RMCO in executing reporting needs for Country/Legal Entity Governance where Risk information is requiredSupport Country Risk Manager in internal, regulatory, or third-party audits on integrated risk managementAssist in projects as necessary, that improve efficiency in activities managed by the Latin America Credit and Portfolio Risk ManagerQualifications: 5-8 years of relevant experienceIdeally you will be a graduate from Economic Sciences, Finance or similarExperience in risk management, implementation of risk related regulations is a plusDemonstrated ability to synthesize, prioritize and drive results with a sense of urgencyProven ability to remain organized in a fast-paced environment, managing multiple projectsResults driven with a strong attention to detail is required, couple with ability to manage multiple tasks simultaneously in a rigorous control environmentExcellent written and verbal communication skills in both Spanish and English LanguagesEducation: Bachelor's degree/University degree or equivalent experienceJob Family Group: Risk Management
Job Family: Credit & Portfolio Risk Management
Time Type: Full time
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