The position involves managing the integrated close (US regulatory reporting and Management Reporting) process Qualifications Qualifications: Required: Education: Majors in Finance Experience: 3-4 years Other: Working knowledge of Microsoft Office (especially MS Excel Preferred: Education: Chartered
Description About Finance - Controllers: The Controller’s team within Finance is responsible for preparation of Financial Statements, Regulatory Reporting and Control Oversight for Citibank NA India branch. The team prepares the financial reporting under the local GAAP (as per RBI norms ...
and well developed people leadership skills. Further he/she should bring strong business development and client relationship management skills with the capability to interact with and influence CXO-level decision-makers. It will be desirable that the candidate brings relevant network architecture
and medium high risk models used in global consumer risk management The position will be part of the Model Risk Management, India (Mumbai) team His/her primary role is to evaluate conceptual soundness and model performance of loss forecasting, balance forecasting, stress testing, PPNR, Loan Loss Reserves
and ensure models, documentation, and monitoring MIS are compliant with applicable policies. Qualifications Master's or Doctoral degree with a specialization in Statistics, Mathematics, Finance or other quantitative discipline 5+ years in relevant consumer finance or credit card industry experience
in Finance Skillsets: Fluent in verbal and written communication Good interpersonal skills Should be calm and composed. Should be used to stretch and work on tasks with short TAT. Primary Location: India,Maharashtra,Mumbai Education: Bachelor's Degree Job Function: Operations Travel Time ...
be found at www.citigroup.com or www.citi.com. Position Description Pune is the largest single employee site across TTS Tech and growing. Reporting to the TTS Tech APAC Chief of Staff, the TTS Tech Pune Business Manager will engage with Pune HR, Recruitment, Learning and Development, GTRS, Risk
expertise in data extraction, manipulation, and reporting Strong project management skills and ability to manage multiple projects simultaneously Advanced Microsoft Office experience (Excel and Power Point) Others: Fluency in English is essential Primary Location: India,Maharashtra,Mumbai Education ...
and Basel Operations. FRO strives to reduce complexity by consolidating and re-engineering end-to-end finance processes globally through data, process and platform standardization. In partnership with Finance, it executes various process transformation initiatives to support Finance’s journey to become
and underlying data Excellent analytical skills with in-depth experience in Microsoft Excel Strong PowerPoint skills Coordinate and manage stakeholders across locations Should have managed teams across multiple locations Ability to manage and manipulate large data sets is critical to this role Candidate
across key countries in APAC, disseminating updates to legal and business partners Litigation, regulatory investigation management: reviewing deal files and case papers, preparing briefing notes, collating relevant materials; tracking and managing documentation being submitted in a regulatory
Checking underlying documentation received for each transactions and update it on a timely basis as per regulatory timelines Ensure timely preparation and dispatch confirmations to clients MIS preparation for front office, Finance, Credit and Regulatory reporting Develop and implement technology
level profitability - identify new revenue opportunities, drive revenue recognition, manage efficiencies, drive productivity, manage projects successfully while meeting revenue and cost budgets • Shape multi-year services strategy, in conjunction with sales leadership • Drive services revenue growth
Primary Location: India,Maharashtra,Mumbai Education: Bachelor's Degree Job Function: Risk Management Schedule: Full-time Shift: Day Job Employee Status: Regular Travel Time: No Job ID: 16069529 Description Job Description: Position Title: Credit & Portfolio Analyst 3 Grade/Level: C11
risk across the firm. The Model Risk Management framework provides an independent set of controls over the key risks that are associated with the use of models for the purposes of Citi's key businesses, including the Institutional Clients Group and the Global Consumer businesses. This control framework
Banking and Financial Institutional liaisoning Statutory compliance Balance sheet finalization Tax Planning Costing and MIS Legal compliance Budgeting Taxation-Direct & Indirect Income Tax /TDS Project Financing Fund Management Credit Control & Mgmt Sr. professional with work experience from Textile manufacturing firm Candidate should be well versed with SAP Should be C.A. and C.S. preferably ...