Liquidity Reporting Business Analyst - VP

Citigroup Inc., City of Westminster

Liquidity Reporting Business Analyst - VP

Salary Not Specified

Citigroup Inc., City of Westminster

  • Full time
  • Permanent
  • Onsite working

Posted 2 weeks ago, 17 Oct | Get your application in now before you miss out!

Closing date: Closing date not specified

job Ref: 3431c71d9a314caab987ddf73b25a9f3

Full Job Description

This is a role of a Business Analyst supporting Liquidity Regulatory Reporting for International Treasury covering APAC, EMEA and LATAM region. The role requires a mix of Business Analyst/Project Manager. The role is based in London and will require active coordination with International Treasury teams across the Globe. Successful candidate should have experience of working on Liquidity Reporting/Regulatory Reporting., Liquidity Operations team is responsible for supporting Liquidity Reporting Function for Citigroup and covers US regulatory Reporting like FR2052a, LCR, NSFR, ILST and other key Liquidity Reports. The Role sits under Liquidity Reporting Change Management teams which provides supports to Liquidity Report Production team including Business Analyst, Testing teams. The teams are based in multiple locations across the Globe. The current role is based in London and is for a Business Analyst supporting various liquidity reporting projects for all Regions, The Role will require a mix of Business Analyst and Project Coordination across Liquidity Reporting . The team has a mandate to cover Local Liquidity Reporting covering APAC, EMEA and LATAM regions. Some of the key responsibilities in the role: As a Business Analyst the main tasks are concerned with working with Treasury and Finance reporting teams as well as the Technology department on automation projects covering regulatory and Treasury reports. In this position you will use and expand your experience and professional skills for the following responsibilities:

  • Participate in regulatory change projects and key Treasury projects in the field of Liquidity reporting and Resolution and Recovery Planning
  • Ensure accurate implementation of local regulatory reporting requirements.
  • Elicit and document business requirements for existing and new reporting processes
  • Liaise with Technology, Treasury and Reporting teams
  • Prepare and execute test scripts for the solution developed
  • Analyse data and escalate logic gaps
  • Document new processes and prepare user guides for new systems and features
  • Excellent skills in working collaboratively and with people at all levels of the organization, most notably Liquidity report production, whilst at the same time being assertive enough in order to influence and challenge where required.
  • Development Value:
  • Opportunity to work with team across the globe, including Finance, Risk, Technology
  • Exposure to work with different Regulatory regime across three regions (APAC, LATAM, EMEA)

    University/College degree in Finance/Accounting
  • Relevant years of work experience in financial reporting, accounting or system implementation role. Experience with Liquidity Reporting/Regulatory reporting
  • Excellent analytical and communication skill
  • Technology attitude: you will have to co-operate with Technology staff, we need you to speak their language
  • Interpersonal skills, ability to manage stakeholder relationships across various levels of seniority