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Real Estate Risk Analyst

Mexico, Ciudad De Mexico · Job Posted June 16, 2026
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Job Description

The Real Estate Risk Analyst operates within the 2nd line of defense, conducting independent risk assessments, establishing risk controls, and managing firm-wide risks. The role includes solving problems independently, interpreting data professionally, and effectively communicating potentially complex information. The analyst contributes directly to business core activities, affecting team effectiveness based on quality and timeliness of their service.

Job Responsibility

  • Provide guidance and on-the-job training to newly onboarded team members to help them integrate into the team and understand their roles
  • Regularly attend meetings with business groups, market risk management teams, and the entire Real Estate Risk Management team to discuss risk management strategies and updates
  • Monitor, review, and reconcile Tier III limits with risk managers, risk architecture, and the business
  • Proactively identify potential risks and implementing effective mitigation strategies
  • Generate and provide regular reports such as aging reports or market position details
  • Collect, analyze, and display data in pivot tables as required
  • Utilize financial models to analyze real estate investments, capital markets, and other related areas
  • Undertake ad hoc data analysis for Business As Usual requests from the business and senior risk managers including stress testing, researching market data, Basel capital, and CCAR calculations, among others
  • Appropriately assess risk when business decisions are made, demonstrating particular consideration for the firm's reputation and safeguarding Citigroup, its clients, and assets
  • Drive compliance with applicable laws, rules, and regulations, adhering to Policy, and applying sound ethical judgment regarding personal behavior, conduct, and business practices
  • Escalate, manage and report control issues with transparency

Requirements

  • 2-5 years relevant experience
  • Deep understanding of industry standards, practices and data analysis tools
  • Proven ethical judgment in both personal conduct and business practices
  • Advanced mathematical abilities
  • Proficiency in Excel, PowerPoint, and Project Management
  • Programming skills
  • Bachelor’s/University degree or equivalent experience
  • 2 a 5 años de experiencia en valuación inmobiliaria, riesgo, finanzas, análisis o sector bancario (deseable)
  • Sólidas habilidades matemáticas y analíticas, con énfasis en productos financieros
  • Dominio intermedio-avanzado de Excel y PowerPoint
  • Habilidades organizativas y atención al detalle
  • Buenas habilidades de comunicación escrita y verbal
  • Fundamentos de riesgo financiero y crediticio
  • Conocimiento del mercado inmobiliario
  • Análisis de datos y modelado financiero
  • Conocimiento básico de regulación financiera
  • Licenciatura en Ingeniería, Arquitectura o área afín

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