Balance Sheet Management | Analyst C11

Place of work Mumbai
Contract type -
Start date 2 weeks ago
Salary -

Job details

Job description, work day and responsibilities

The Balance Sheet Management Analyst is a seasoned professional role. The Analyst is expected to apply in-depth disciplinary knowledge, contributing to the development of new methodologies (statistical and non-statistical), data processing, visualization and analysis tools and approaches, and the improvement of processes and workflows for the Balance Sheet Management function.

Description

The Balance Sheet Management modeling group is responsible for developing statistical and non-statistical methodologies. The Analyst will be responsible for end-to-end development of statistical models covering such asset classes as Deposits or Fixed Income Securities, or particular functions such as Asset Allocation strategy. As part of those responsibilities, the Analyst would be expected to demonstrate analytical skills in the design and implementation of models, strong communication skills in documenting and presenting their work, stakeholder management and interaction skills allowing the analyst to clearly and efficient understand requirements and develop a model or approach to meet those requirements.

For non-statistical modeling projects / tasks, the Analyst would be required to integrates subject matter and industry expertise within a defined area. Demonstrate good analytical skills in order to filter, prioritize and validate potentially complex and dynamic material from multiple sources. Regularly assume informal/formal leadership roles within teams.

The detailed responsibilities includes:

Development of econometric forecasting models for key Balance sheet and income statement line items for capital and business planning purposes. This includes the calculation of Net Interest Income (“NII”), Non Interest Revenue (“NIR”), Interest Rate Exposure (“IRE”), Economic Value Sensitivity (“EVS”), and other associated interest rate risk metrics.

Deep understanding of statistical techniques such as Logistic Regression, Panel Regression, Error Correction Models, Seemingly Unrelated regression and Cointegration

Steering stakeholder conversations with Businesses, Finance, Treasury and Risk to seek their sign-offs on Champion models.

Manage the Segmentation, Risk Identification, overlay discussions with Businesses and Finance teams.

Responsible for reviewing and timely submission of Model development documentation (MDDTs) to Model Risk Management.

Align with Model Risk Management on modeling and validation practices and have periodic check-ins with them.

Create a culture of accountability and strict quality control of the data integrity and modeling process

Develop and maintain a comprehensive modeling system that maintains consistent approach to data quality and modeling methods, audit, back test, tracking, annual validation. This is critical in reducing the model operating risk

Ability to build key relationships with finance and business teams

Must be able to present technical matters in a way that is meaningful to the audience

Ability to influence people and empower team members to be proactive and focused on partnerships and results

Other requirements:

3-5 years of relevant statistical /econometrics experience in financial services

Bachelors / Masters in quantitative discipline such as Statistics, Economics, Engineering, Mathematics or related discipline

Experience in Fixed Income Securities, Mortgage Modeling, Deposit Modeling, Asset Liability Management, Interest Rate Risk, Capital Planning

Experience in developing econometric models

Extensive hands-on experience in programming and modeling using SAS and/or Python, or extensive experience with databases.

Excellent presentation skills; the ability to translate complex financial schedules into meaningful presentations is critical; demonstrated analytical skills including the ability to synthesize quantitative and qualitative data to draw conclusions and assist on decision making

Ability to build key cross functional and cross business relationships

Broad and deep understanding of accounting principles, investment, accrual products and corporate finance concepts

Demonstrated leadership and team management skills and ability to managing multiple projects and deadlines

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Job Family Group:

Finance
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Job Family:

Fin Solutions Dsgn & Implement
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Time Type:

Full time
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Citi is an equal opportunity and affirmative action employer.

Qualified applicants will receive consideration without regard to their race, color, religion, sex, ****** orientation, gender identity, national origin, disability, or status as a protected veteran.

Citigroup Inc. and its subsidiaries ("Citi”) invite all qualified interested applicants to apply for career opportunities. If you are a person with a disability and need a reasonable accommodation to use our search tools and/or apply for a career opportunity review Accessibility at Citi.

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Company address

India
Maharashtra
Mumbai
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Company Name: Citi
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Offer ID: #645960, Published: 2 weeks ago, Company registered: 2 years ago

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