• Competitive
  • Singapore
  • Permanent, Full time
  • Citibank NA
  • 22 Apr 18

GF - CSC Collateral Monitoring Unit Analyst

GF - CSC Collateral Monitoring Unit Analyst

  • Primary Location: Singapore,Singapore,Singapore
  • Education: Bachelor's Degree
  • Job Function: Risk Management
  • Schedule: Full-time
  • Shift: Day Job
  • Employee Status: Regular
  • Travel Time: No
  • Job ID: 18017403


Description

Job Purpose:
  • The Private Bank Risk Management Group is an independent sector-level control function, comprised of geographic and function specific senior risk managers, having global responsibility for credit approval, risk policies, product programs, risk capital, and cost of credit review. The Group works closely in partnership with the Business and other related areas with the goal of taking intelligent Risk and Return decisions with Shared Responsibility
Key responsibilities:
  • Ensure that margin calls are escalated and resolved in a timely manner with suitable action plans
  • Day to day management and supervision of the processes supporting the FX and Derivative margining process including Bilateral margining (where MtM, Initial margin, Netting Flag and In-Scope/Out-Scope trades) are handled correctly
  • Performed line monitoring where Dodd Frank breaches are escalated promptly and technical breaches relating to Credit Authorisation are managed on time
  • Provide guidance and training to Front Office on the application of credit rules and use of credit systems, communicate any changes of credit policy requirements and procedures
  • Participate in both Global or Regional system enhancements projects to drive synergy and standardization as required
  • Preparation and coordination of deliverables for internal and external audits
  • Lead the efforts driving new Regulatory initiatives to institute new processes, reporting framework to meet guidelines
  • Supporting the Risk managers on Ad hoc request to generate new reports or any risk analytics tool


Qualifications

Qualifications and Experience:
  • 1 to 3 years of Experience Strong calibre fresh graduates are welcome
  • Degree or post-graduate Qualification
  • Extensive credit administration experience together with good understanding of financial instruments and credit, collateral management, foreign exchange and derivative products
  • Excellent communication skills (verbal and written)
  • Good administration and organizational skills with meticulous attention to detail and accuracy
  • Strong initiative and interactive approach to problem solving
  • Attention to detail and ability to multi-task
  • Self-starter and ability to work as part of a team and to be able to interact with all levels of staff in the Private Bank and Risk community
  • Computer literate with a sound working knowledge of Microsoft Excel, Word, Powerpoint
  • Experience working analytically with large data-sets
  • Exceptional candidates who do not meet these criteria may be considered for the role provided they have the necessary skills and experience
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