Liquidity Risk LOD Lead Analyst - VP
Listed on 2026-01-27
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Finance & Banking
Risk Manager/Analyst, Corporate Finance, Financial Analyst, Financial Compliance
Location: Getzville
Role Overview
The Liquidity Risk Management Lead Analyst is an individual contributor within the Liquidity Management function of Treasury Organization. The individual will be responsible for managing the liquidity position of Citigroup, which includes liquidity monitoring, management reporting, liquidity analysis, and collateral management. In addition, the role provides support in the oversight of the firm’s liquidity metrics, controls, data and change management initiatives supporting FR 2052a, LCR, NSFR, ILST and other liquidity management areas.
The role supports the firm’s financial resiliency / resolvability and coordinates day‑to‑day operation, governance, strategy, and change management activities to achieve the firm’s liquidity risk management objectives.
- Monitor liquidity metrics against various Limits and Thresholds
- Analyze the liquidity position, period‑over‑period change, trend and business drivers
- Partner with peer teams in Treasury to enhance the firm’s liquidity position to meet regulatory requirements, internal Limits/Thresholds, and business objectives.
- Create monthly liquidity reporting pack to summarize liquidity position for management review and decisioning
- Work with key stakeholders to ensure global production and regulatory submission of the Firm’s key liquidity reports including FR 2052a, LCR, NSFR, ILST, and other key reports
- Identify issues in liquidity risk management process and work with stakeholder functions to develop and implement enhanced process and capabilities
- Develop solution to automate liquidity reporting and analytics process to streamline the day‑to‑day operation
- Document liquidity analytics process and controls in Liquidity Risk Management Policy and Procedure
- Perform other liquidity analysis and reporting duties and functions as assigned
- 6-10 years of experience in liquidity management role and/or Treasury function of financial institutions
- Solid understanding of financial products on bank’s balance sheet
- Broad understanding of liquidity metrics, analytics and regulation
- Experience conducting data analysis and presenting findings and solutions to management
- Experience working with cross‑functional teams to implement changes to existing process
- Ability to concisely communicate analytical objectives, observations and relevance of findings in written, visual (graphical) and verbal form
- Proficiency with Excel and Power Point
- Ability to multi‑task and work under pressure
- Bachelor’s/University degree, Master’s degree or Finance related majors preferred.
Citi is an equal opportunity employer, and qualified candidates will receive consideration without regard to their race, color, religion, sex, sexual orientation, gender identity, national origin, disability, status as a protected veteran, or any other characteristic protected by law.
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