Regional Lead Coordinator, International Treasury

London, Greater London, United Kingdom
10 Feb 2021
12 Mar 2021
Approved employers
Approved employer
Job role
The position will work closely with the International Treasurer to drive the implementation of key initiatives across Regional Treasury teams covering business analytics, liquidity and interest rate risk and ALCO governance framework. The individual will have significant input and influence in driving the agenda for continuous improvement of the International Treasury efforts to support the Regional business franchises and governance standards. The role will act as the central coordinator for balance sheet optimization efforts including liquidity/capital usage and flows, regulatory reviews and policy updates. Coordination of the Regional efforts to implement changes required by Citi Treasury policies including re-design of liquidity stress metrics, Funds Transfer Pricing and Interest Rate Risk. Responsibilities will also include preparation of materials for senior management including board materials, CCO and ALCO member training materials and meetings with regulators. This individual will be key to coordinating the International Treasury team's efforts in Citi's drive to achieve best in class process and infrastructure. Other responsibilities include:

- Own the coordination of international capital repatriation Plans and interaction with the Capital Planning team
- Work with Regional and Country Treasurers to ensure the coordination, sharing and standardization of best practices.
- Ownership of processes related to Citi's ALCO governance framework will include the Citigroup ALCO Standard, Country Treasurer Governance Standard and Country Treasurer Standard MCA in coordination with Risk, ICRM and Country Treasurers.
- Ensure optimization of liquidity and funding flows across regions via tracking liquidity flows for key Material Legal Entities
- Act as central point of communication to drive closure of global CAPs/ MRAs
- Support International Treasurer in various analyses
- Coordination of headcount and budget review for International/ Regional Treasury


  • 6 plus years of experience working for a financial services organization
  • Skills:

    -Excellent project management, communication and coordination skills

    -ability to work across teams in multiple regions and time zones

    -self-starter with track record of taking initiatives and implementing projects to completion

    -Experience with liquidity management or Interest Rate risk management and reporting would be advantageous

    - Ability to handle governance related matters including monitoring policies and policy compliance

    Track record of getting things done across different functions in a large organization

  • Bachelors degree, potentially Masters degree

Job Family Group:

Job Family:
Balance Sheet Management

Time Type:

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