CrawlJobs Logo

Liquidity Risk Data and Analytics Senior Vice President

Costa Rica, Heredia · Job Posted February 19, 2026
Apply Position
Job Link Share

Job Description

The Liquidity Risk Senior Officer I is a strategic professional who closely follows latest trends in own field and adapts them for application within own job and the business. Typically a small number of people within the business that provide the same level of expertise. Excellent communication skills required in order to lead through complex scenarios and manage change. Developed communication and diplomacy skills are required in order to guide, influence and convince others, in particular colleagues in other areas and occasional external Stakeholders. Accountable for significant business results or authoritative advice regarding the operations of the business. Necessitates a degree of responsibility over technical strategy. Responsible for handling reporting, process, and change management issues.

Job Responsibility

  • Leads Change Management Initiatives including coordinating JIRAs, acquiring data into Risk systems, implementing new metrics into Risk systems
  • Leads validation initiatives related to Liquidity reporting implementations for assumptions, Limits and MATs, and methodology changes
  • Provides Credible Challenge of proposals related to Liquidity Reports and Metrics in established committees and forums
  • Responsible for reporting on and analyzing current liquidity position through analytical tools
  • Monitors liquidity ratios to assure compliance with Risk appetite
  • Supplies information for the production of stress scenarios to quantify the likely impact of certain events on the balance sheet and to report on what incremental funding may be required
  • Responsible for producing various ad-hoc Liquidity reports and analysis for Senior review
  • Liaise with members of Risk Reporting/Risk Management, Finance, and Treasury to establish reporting requirements and develop the tools, analysis and reporting necessary to proactively identify and manage risk with respect to portfolios and products, and continuously update the reporting process to reflect the current business structure
  • Lead initiatives for ongoing treasury-related tasks, projects, and analyses
  • Partners with Liquidity Operations, Liquidity Management, Liquidity Tech, and risk management staff
  • Appropriately assess risk when business decisions are made, demonstrating particular consideration for the firm's reputation and safeguarding Citigroup, its clients and assets, by driving compliance with applicable laws, rules and regulations, adhering to Policy, applying sound ethical judgment regarding personal behavior, conduct and business practices, and escalating, managing and reporting control issues with transparency

Requirements

  • 10+ years relevant experience
  • Must possess strong knowledge of balance sheet composition
  • Must possess Strong knowledge of Liquidity system workflows, front-end and management reporting application systems, and knowledge in the utilization of database technology
  • Leadership Skills
  • Change Management experience
  • Solid Microsoft Excel and general Microsoft Office skills
  • Quick learner with excellent communication skills, team orientation, and ability to work with counterparts in different areas of organization
  • Attention to detail and accuracy are essential
  • Bachelor’s/University degree, Master’s degree preferred

Looking for more opportunities?

Search for other job offers that match your skills and interests.

Similar Jobs for

Liquidity Risk Data and Analytics Senior Vice President

8 matching positions

Balance Sheet Strategy – Data Architecture & Analytics - Vice President

The Balance Sheet Strategy – Data Architecture & Analytics - Vice President, Mum...
Location
Location
India , Mumbai
Salary
Salary:
Not provided
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Bachelor’s degree in Finance, Economics, Mathematics, Computer Science, Engineering, or related field (Master’s preferred)
  • 6–10 years of experience in Treasury, balance sheet strategy, risk analytics, data engineering, or quantitative finance
  • Strong Python programming experience (data pipelines, modelling, analytics)
  • proficiency with Tableau or similar BI tools
  • Experience designing data models, schemas, and analytics architectures for large and complex financial datasets
  • Ability to translate complex banking balance sheet dynamics into structured data and analytical frameworks
  • Demonstrated intellectual curiosity, self‑direction, and ability to derive analytical approaches from first principles
  • Ability to communicate technical concepts clearly to senior Treasury and business stakeholders
  • Understanding of capital, liquidity, and interest rate risk frameworks (e.g., CET1, RWA, LCR, NSFR, IRRBB)
Job Responsibility
Job Responsibility
  • Design and implement scalable data models and architectures to represent the bank’s balance sheet across products, businesses, and legal entities
  • Develop analytics pipelines, tools, and dashboards that support Treasury decision‑making including capital allocation, liquidity management, and funding strategy
  • Build and maintain Python-based workflows for data ingestion, transformation, validation, and analytics
  • Create and maintain Tableau dashboards and other analytical outputs for senior Treasury, Risk, and Finance stakeholders
  • Work directly with Treasury, Risk, and Finance teams to translate business requirements into robust data and analytics solutions
  • Develop and embed data quality checks, documentation, and traceability frameworks aligned with regulatory and internal governance standards
  • Act as a subject matter expert on data architecture and analytics best practices, contributing to design discussions and solution development without direct people-management responsibilities
  • Fulltime
Read More
Arrow Right

FR Y-14 Actuals Reporting Senior Vice President

The FR Y-14 Actuals Reporting Senior Vice President is a professional responsibl...
Location
Location
Philippines , City of Taguig, Metro Manila
Salary
Salary:
Not provided
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • 10+ years of work experience in Financial/Regulatory Reporting/Risk Management (Credit, Market or Liquidity) function within a major global financial institution
  • Regulatory reporting experience (eg. FR Y-14, FR Y-9C)
  • Proven track record analyzing complex financial reporting items in a high profile environment and developing/deploying analytics frameworks within a large financial institution
  • Familiarity with Risk and Finance reporting data infrastructures and platforms (Citi systems knowledge preferred) across multiple products, functions, and/or businesses preferred
  • Senior Leadership and project management experience within a major global financial institution
  • Ability to drive / execute projects with limited guidance and drive next steps
  • Proficiency in extracting and analyzing large data sets from databases
  • Strong product knowledge in Derivatives, Traded products, Corp Loans, Retail products, Securities (and related FRY14 schedules, preferably attained through working in risk management, finance, regulatory reporting or operations)
  • Strong verbal and written communication skills, with the ability to present complex concepts in a concise manner
  • Detail-oriented with strong organizational skills
Job Responsibility
Job Responsibility
  • Develop attestation materials, metrics, and dashboards for senior management summarizing the results of the review prior to submission
  • Create / present schedule level materials supporting CFO attestation, including attestation packages
  • Support QMMF / annual CCAR activities for FRY14 Actuals
  • Contribute to creation of report level materials in support of CFO attestation
  • Lead schedule level Control activities, including the ongoing improvement of a control framework (eg. reconciliations, variance analysis, periodic schedule QC, adjustments review, EUC verification and DQ diagnostics) for owned schedules
  • Develop and use analytical tools to visualize risk and inform management decisions
  • Deliver risk and data quality insights through verbal, written and interactive digital content to key stakeholders
  • Review / assess report production identified FR Y-14 related issues (eg. DQ, SAB 99, adjustments, reconciliations) and present to senior management
  • Support / drive technology implementations to support automation
  • Develop and manage team members to become high performing team in support of schedule level analytics and reporting activities
  • Fulltime
Read More
Arrow Right

Vice President, Senior ALM Specialist

The Vice President, Asset Liability Management (ALM) is a senior leadership role...
Location
Location
United States Of America , NEW YORK
Salary
Salary:
115000.00 - 160000.00 USD / Year
credit-agricole.com Logo
Crédit Agricole
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Bachelor Degree / BSc Degree or equivalent
  • 6 - 10+ years of experience in ALM, Treasury, or Liquidity Risk within a large bank or FBO
  • Demonstrated hands-on experience with: Internal liquidity stress testing (beyond LCR/NSFR)
  • Cash-flow forecasting frameworks
  • CFP design and governance
  • FR 2052a or equivalent granular liquidity reporting
  • Direct exposure to regulatory exams and supervisory dialogue
  • Strong understanding of: U.S. liquidity regulation and supervisory expectations
  • EPS Category IV implications for ALM
  • Interactions between liquidity, funding, capital, and balance sheet strategy
Job Responsibility
Job Responsibility
  • Senior Ownership of Liquidity & Balance Sheet Risk: Own major components of the internal liquidity framework: Internal Liquidity Stress Testing (ILST)
  • Cash-Flow Forecasting (CFF)
  • Survival horizon and liquidity buffer analysis
  • Early Warning Indicators (EWIs)
  • Independently analyze and explain drivers of liquidity risk movements
  • Ensure ALM outputs are logically coherent, consistent over time, and defensible under scrutiny
  • ALCO & Executive Communication: Act as a trusted senior voice in ALCO discussions
  • Draft and deliver clear, structured, regulator-grade written materials for: ALCO decks
  • Senior management memos
  • Internal governance documentation
  • Fulltime
Read More
Arrow Right

Finance Data Distribution - Vice President

The Finance Data Distribution VP is a key contributor to strategic finance trans...
Location
Location
Hungary , Budapest
Salary
Salary:
Not provided
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • 6-10+ years of relevant experience, within the financial services industry with a focus on Financial reporting, Regulatory Reporting and Controllers preferred
  • Experience in transformation and process re-engineering deliveries involving legacy applications and process migration to target state applications and processes
  • Demonstrable knowledge of Accounting and Ledger business functions and processes with specific focus on Financial and Regulatory reporting processes
  • Strong business analysis and Project management expertise
  • Strong understanding of financial control, GL reconciliation, intercompany reconciliation, and consolidated financial reporting within a global financial institution
  • In-depth knowledge of financial books and records, consolidated ledger reporting, management reporting, RWA, and the intricacies of reconciliation processes between diverse financial systems
  • Experienced in managing Project plans, milestones and deliverables
  • Self-motivated with the ability to make decisions in the absence of detailed instructions
  • Exceptional written and verbal communication, negotiation, and stakeholder management skills, with proven ability to deliver compelling presentations and engage effectively with Senior leaders
  • Expertise in designing and implementing robust data distribution architectures, including APIs, data pipelines, ETL/ELT, and real-time streaming solutions
Job Responsibility
Job Responsibility
  • Drives product/integration alignment with organizational goals for regulatory reporting, liquidity management, data aggregation, consolidation, and operational reporting
  • Translate complex business requirements related to financial ledger data into a clear and actionable product roadmap
  • Acts as SME to stakeholders and /or other team members within Finance Controllers, Financial reporting systems, Tax and Treasury functions
  • Contributes to the design, roll-out and governance of financial solutions including Ledger balances and journals consumption, Legal entity reporting, Entity consolidation
  • Participates in formulating and setting strategic direction for the process, organization and architecture covering Finance across Citi businesses, products, functions and locations
  • Assists in setting business and information architecture standards for Finance
  • Develop and manage the product lifecycle for data products originating from the financial ledger, including ledger balances and journals
  • Ensure data distribution capabilities meet stringent requirements for accuracy, completeness, and timeliness for regulatory and financial reporting
  • Drive the enhancement of data aggregation, consolidation, and operational reporting functionalities
  • Plays a part in settling and operating necessary forums and frameworks to establish and govern policies and starts for global Finance processes
What we offer
What we offer
  • Cafeteria Program
  • Home Office Allowance (for colleagues working in hybrid work models)
  • Paid Parental Leave Program (maternity and paternity leave)
  • Private Medical Care Program and onsite medical rooms at our offices
  • Pension Plan Contribution to voluntary pension fund
  • Group Life Insurance
  • Employee Assistance Program
  • Access to a wide variety of learning and development programs, online course libraries and upskilling platforms, such as Udemy and Degreed
  • Flexible work arrangements to support you in managing work - life balance
  • Career progression opportunities across geographies and business lines
  • Fulltime
Read More
Arrow Right

Balance Sheet Management Senior Analyst, Assistant Vice President

We are seeking a highly motivated and detail-oriented Assistant Vice President (...
Location
Location
United Kingdom , London
Salary
Salary:
Not provided
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Relevant experience within a treasury or financial operations environment, with a focus on day-to-day funding, cash management, or collateral management
  • Strong analytical abilities with a keen eye for detail, capable of monitoring and interpreting daily financial data and identifying trends or anomalies
  • Basic understanding of the Internal Liquidity Adequacy Assessment Process (ILAAP) and its operational implications
  • Effective communication skills, both written and verbal, to liaise with various internal teams and articulate operational findings clearly
  • Proficiency in using Microsoft Excel for data analysis and reporting, and PowerPoint for presenting operational updates
  • Ability to work collaboratively within a team-oriented environment and build strong working relationships with cross-functional partners
  • Capacity to multitask and adapt to a fast-paced and dynamic operational environment
  • A Bachelor's degree in Finance, Economics, Business, or a related field is required
Job Responsibility
Job Responsibility
  • Provide day-to-day oversight of funding desks, ensuring the operational execution of funding strategies and maintaining adequate cash and collateral levels to meet daily requirements
  • Continuously monitor the firm's daily cash and collateral positions across various entities and accounts, identifying and escalating any potential shortfalls or excesses
  • Execute daily cash and liquidity forecasting activities, collaborating with relevant teams to gather inputs and ensure accurate projections for optimal resource allocation
  • Work closely with Cash Management, Collateral Operations, and Settlement teams to facilitate the efficient movement of cash and collateral, resolving operational issues promptly
  • Ensure operational activities are conducted in strict compliance with internal policies and external regulatory requirements related to funding and liquidity
  • Provide critical operational data, analysis, and insights as inputs into the Internal Liquidity Adequacy Assessment Process (ILAAP), supporting the strategic objectives of the Treasury team
  • Assist in the preparation of daily, weekly, and monthly reports on funding, liquidity, and cash positions for internal management and regulatory submission
  • Identify and escalate potential operational risks related to funding and liquidity, contributing to the development of mitigation strategies
  • Contribute to the continuous improvement of treasury operational processes, seeking efficiencies and enhancing controls
What we offer
What we offer
  • Generous holiday allowance starting at 27 days plus bank holidays
  • increasing with tenure
  • A discretional annual performance related bonus
  • Private medical insurance packages to suit your personal circumstances
  • Employee Assistance Programme
  • Pension Plan
  • Paid Parental Leave
  • Special discounts for employees, family, and friends
  • Access to an array of learning and development resources
  • Fulltime
Read More
Arrow Right

Capital Management Senior Analyst - Assistant Vice President

Capital Planning and Management is a division that (i) owns the enterprise-wide ...
Location
Location
India , Mumbai
Salary
Salary:
Not provided
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • 5-8 years relevant experience
  • Foundational knowledge of banking products / systems
  • Foundational knowledge of the different systems, theories and practices relevant to a function as well as practical experience of multiple business cycles
  • Excellent communication skills required in order to influence a wide range of audiences
  • Able to navigate through a large organization to streamline and summarize multiple information points and create repeatable processes to build consistency in presenting information
  • Strong technical problem-solving skills and an ability to identify conflicts, discrepancies and other issues and bring together the right team to solution them
  • Strategic mindset, ability to plan ahead to future possibilities and translate them into breakthrough strategies
  • Ability to manage competing priorities and tasks in a complex and dynamic and work well as part of a team
  • At a minimum, a Bachelor’s degree from a recognized higher education institution
  • Prefer at least a Bachelors’ degree in Finance, Accounting, Business or related field
Job Responsibility
Job Responsibility
  • Supports analysis in the formulation and setting of strategic direction for capital planning and management processes, organization and architecture from the perspective of capital planning covering Finance across Citi businesses, products, functions and locations
  • Supports the team and assists manager with the execution of forecasting and stress testing production process including tracking progress against deliverables and solving concerns before they become material issues
  • Preforms analytics including in-depth financial analysis, key risk drivers and sensitivity analysis, and determination of implications for capital, balance sheet composition, and liquidity profile
  • Performs day-to-day activities of the assessment of relevant processes and ensure appropriate existence and effectiveness of controls
  • Assists in remediating outstanding Regulatory, Risk Management, and Audit Issues
  • Participates in the identification of areas for improvement across the process and maintain continuous improvement mind-set
  • Applies in-depth disciplinary knowledge, contributing to the development of new techniques and the improvement of processes and work-flow for the area or function. Integrates subject matter and industry expertise within a defined area
  • Performs other duties and functions as assigned
  • Fulltime
Read More
Arrow Right

XVA Trader, Vice President

Summary: Reporting globally to the Head of Scarce Resources & Trading (SRT) and ...
Location
Location
United States of America , NEW YORK
Salary
Salary:
200000.00 - 250000.00 USD / Year
credit-agricole.com Logo
Crédit Agricole
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Bachelor Degree / BSc Degree or equivalent
  • Degree, preferably in a Mathematical / Scientific area, or A-levels followed by appropriate market relevant working experience
  • 6-10 years experience
  • Experience in financial products related trading/ risk management activities
  • Strong credit knowledge
  • Strong knowledge on XVA
  • CP8/CP6 certification
  • Team oriented
  • Excellent communication skills and able to coordinate effectively with other Senior Managers, Sales, Structurers and Quants
  • Ability to think quickly, make decisions using good judgement and prioritise in busy trading situations
Job Responsibility
Job Responsibility
  • Pre-trade pricing of XVAs on the GMD perimeter
  • Post-trade analysis and ensuring consistency for the Profitability Analysis computations
  • Collaboration with Structuring and other functions for post-trade optimisation
  • Execute transactions in accordance with established risk management procedures and risk parameters by delegation to head of trading XVA and Risk Management (TRM)
  • Credit analysis link to sensitive or significant transaction
  • Participate to trading strategy and relate these to market opportunities in relation with the head of trading XVA and Risk Management (TRM)
  • Execute Scarce Resources optimization strategy
  • Act as primary SRT representative in the region, leading discussions with business lines to drive initiatives regarding pricing methodologies, optimisations and strategic deal flow presentations
  • Ensure actively the three components of the Mandate: pricing of XVAs, risk management of XVAs and optimisation of Scarce Resources
  • Proactively engage and advise Sales, Trading, and Coverage teams, translating complex pricing and balance sheet impacts into actionable business support
  • Fulltime
Read More
Arrow Right

Equities Prime Services, Vice President

Citi's global Prime franchise is establishing a dedicated team in Mumbai — a str...
Location
Location
India , Mumbai
Salary
Salary:
Not provided
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Bachelor's or master's degree (Master's preferred) in a quantitative discipline — Computer Science, Mathematics, Statistics, Financial Engineering, Economics, or a related field
  • Graduates from top-tier engineering institutions (IITs and similar) are strongly encouraged to apply
  • CFA certification is a plus for finance-focused roles
  • 8+ years of experience in financial services, Prime Brokerage, Futures & Derivatives Clearing, Equities, Fixed Income, quantitative trading, or financial resource management
  • Demonstrated experience in one or more of the following: front office risk management, quantitative analysis, data science, financial resource management, or trading desk strategy
  • Prior exposure to hedge fund strategies, counterparty risk, or Prime Brokerage platforms is advantageous
  • Experience engaging with regulators, credit risk teams, or cross-functional stakeholders in a global investment bank is preferred for senior roles
  • Financial Systems: Knowledge of Bloomberg, booking systems, and P&L systems
  • Markets Knowledge: Solid understanding of global financial markets, trading products, and their associated risks
  • familiarity with equities, fixed income, and derivatives
Job Responsibility
Job Responsibility
  • First line of defense function mitigating risks introduced by counterparties across Futures, Prime Brokerage, and Equity Delta One business lines
  • Design, develop, and maintain advanced quantitative models, algorithms, and analytical tools to support trading desks and senior management decision-making
  • Monitor and strategically manage key regulatory metrics including RWA, GSIB scores, NSFR, and LCR
  • advise trading desks on capital and liquidity implications
  • Build and enhance the Prime Intelligence platform — delivering P&L analytics, book colour, client scorecards, and performance benchmarking across Prime Services
  • Conduct deep-dive data analysis into market data, trading patterns, portfolio characteristics, and inventory movements to identify opportunities for efficiency gains and risk reduction
  • Develop and backtest sophisticated algorithms for automated inventory management, pricing, and execution
  • Prepare client returns analysis, assist with pricing financing terms, and monitor key book metrics and profitability drivers
  • Collaborate cross-functionally with Sales, Trading, Technology, Risk, Treasury, Legal, and Compliance to translate business requirements into technical solutions
  • Communicate complex analytical findings clearly to both technical and non-technical stakeholders, including senior management, clients, and regulators
  • Fulltime
Read More
Arrow Right