- Citigroup (Charlotte, NC)
- …including resource management and allocation of work within the team/project. **Responsibilities:** + Monitor CBNA and US interest rate risk metrics and work ... closely with the Asset/Liability Management team within Citi Treasury and Citi Market Risk Management to understand the...CBNA Treasurer for actions to ensure those entities interest rate risk remain within established limits… more
- Citigroup (New York, NY)
- …**Responsibilities:** + Contributes to the liquidity, balance sheet and interest rate risk management of consolidated Citigroup, CBNA and non-bank entities. ... affected by the performance of the individual. Wealth Business Treasury is a global team that partners with Wealth...to and learn about Citi's balance sheet, liquidity management, interest rate risk and investment activities as… more
- Citigroup (Getzville, NY)
- …is responsible for reporting, analytics and data quality controls related to the firm's Interest Rate Risk on Banking Book (IRRBB) and Credit Spread Risk arising ... enhance controls, and ensure successful process execution **Responsibilities** The Interest Rate Risk Analytics & Reporting Lead...rate risk exposure + Engage with members of Treasury , ALM, FP&A, Independent Market Risk and Finance to… more
- Citigroup (Getzville, NY)
- …various business segments of CBNA businesses. Specifically this will cover Interest Rate Transfer Pricing (ITP), Liquidity Premium (LP), Credit Spread ... key regulatory reporting being required for Transfer Pricing across CBNA , including the Report on Funds Transfer Pricing. The...implement treasury transfer pricing process relating to Interest rate Transfer Pricing, Liquidity Premium and… more
- Citigroup (Getzville, NY)
- …programs, providing US dollar financing to other trading desk, and management of the USD interest rate risk in banking book. The goal is to achieve Citi's ... **Overview:** The Citi Treasury Investments group (CTI) manages a portfolio consisting...desired net interest position, by issuance of benchmark debt and structured… more
- Citigroup (Getzville, NY)
- …to other businesses and legal entities, as well as management of the USD and Non USD interest rate risk. The goal is to achieve Citi's desired net interest ... **Overview:** The Citi Treasury Investments (CTI) organization is responsible of managing...management for all capital securities issued through Citigroup and CBNA . The role of CTI Buffalo is to be… more
- Citigroup (Getzville, NY)
- …to other businesses and legal entities, as well as management of the USD and Non USD interest rate risk. The goal is to achieve Citi's desired net interest ... **Overview:** The Citi Treasury Investments (CTI) organization is responsible of managing...management for all capital securities issued through Citigroup and CBNA . The role of CTI Buffalo is to be… more
- Citigroup (Getzville, NY)
- …to other businesses and legal entities, as well as management of the USD and Non USD interest rate risk. The goal is to achieve Citi's desired net interest ... **Overview:** The Citi Treasury Investments (CTI) organization is responsible of managing...management for all capital securities issued through Citigroup and CBNA . The role of CTI Buffalo is to be… more
- Citigroup (Getzville, NY)
- The Citi Treasury Investments (CTI) organization is responsible of managing...well as management of the USD and Non USD interest rate risk. The goal is to ... achieve Citi's desired net interest position, by issuance of benchmark debt and structured...management for all capital securities issued through Citigroup and CBNA . The role of CTI Buffalo is to be… more
- Citigroup (Charlotte, NC)
- …firm's capital planning processes. This includes quarterly base and stress forecasting, interest rate risk analysis, and Resolution and Recovery forecasting. The ... managing of core finance processes, including FP&A, balance sheet and NII forecasting, interest rate risk, liquidity stress testing, and capital stress testing.… more
- Citigroup (Charlotte, NC)
- …firm's capital planning processes. This includes quarterly base and stress forecasting, interest rate risk analysis, and Resolution and Recovery forecasting. The ... knowledge of core finance processes, including FP&A, balance sheet and NII forecasting, interest rate risk, liquidity stress testing, and capital stress testing.… more