Corporate Treasury Recovery and Resolution - SVP

London, Greater London, United Kingdom, United Kingdom
Competitive salary
08 Feb 2023
08 Mar 2023
Approved employers
Approved employer
Job role
Corporate Treasury Recovery and Resolution planning lead for the UK Broker Dealer Treasury.

The role will contribute to analysis, modelling and monitoring of Recovery and Resolution planning. Co-ordination of deliverables for Solvent Wind Down, Funding in Resolution and RLEN. Partner across regions and business teams to execute against key regulatory deliverables.

Key Responsibilities:
  • Produce Treasury inputs for Recovery and Resolution plans
  • Produce and run playbooks for simulation of Recovery and Resolution plans and actions
  • Analyse the impact of new regulations to UK Broker Dealer recovery and resolution planning
  • Analyse and calculate impact of Solvent Wind Down
  • Partner with Legal, Finance Desks, Operations, and other teams across Citi to execute on Recovery and Resolution deliverables
  • Preparing materials and participating in governance and regulatory forums or reviews
  • Independently handle ad hoc analyses from management and businesses
  • Drive system and process enhancements to deliver on various Recovery and Resolution objectives

Development Value:
  • Interaction with senior management
  • The opportunity to present to forums including ALCO, governance committees and regulatory engagements
  • Making a significant contribution to ensuring the firm meets its targets for efficient Recovery and Resolution preparedness
  • Exposure to a broad range of business areas and products

Knowledge / Experience:
  • Extensive experience in a similar role, preferably within Financial Services
  • People and/or project management experience in a dynamic and highly technical environment is a plus
  • High energy style with the ability to work independently and multi-task in a fast pace environment
  • Ability to interact with all levels of management, strong interpersonal and communication skills (written and verbal)
  • Knowledge of regulatory framework around Recovery and Resolution planning
  • Knowledge of Treasury, Secured Funding Transactions, Derivatives and Prime Finance recommended
  • Must possess a proactive work ethic and be a team player

  • University degree in Finance/Math/Economics. Post graduate quality a plus
  • Prior Treasury and/or Finance function experience required
  • Prior experience with recovery and resolution planning a plus

  • Strong analytical skills with advanced critical thinking capabilities
  • Well-developed aptitude with databases, spreadsheets, and other desktop applications

  • Comfortable communicating across teams and geographies, taking into account cultural sensitivities and different working practices
  • Ambitious and willing to learn; able to quickly assimilate new information
  • Diplomatic; able to manage situations where conflicts of interest may arise
  • Able to act as a partner to the businesses
  • Ability to take decisions and/or escalate where appropriate, to deliver results and meet objectives in a defined timeframe
  • Exceptional candidates who do not meet these criteria may be considered for the role provided they have the necessary skills and experience.

Job Family Group:

Job Family:
Balance Sheet Management

Time Type:
Full time

Citi is an equal opportunity and affirmative action employer.

Qualified applicants will receive consideration without regard to their race, color, religion, sex, sexual orientation, gender identity, national origin, disability, or status as a protected veteran.

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