





High due to Tier-1 bank brand, metro location, and mid-level generalist FP&A role.
High because banking FP&A, CCAR/PPNR and product profitability require domain-specific finance expertise.
Medium due to explicit 6–10 years requirement and required FP&A subject-matter expertise.
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Lead financial analysis delivering insights on Citi’s financial results and trends to senior management.
Advise on directional strategy and significant business/product decisions through comprehensive financial modeling and scenario analysis.
Collaborate with FP&A teams to execute and present detailed forecasts, strategic plans, and profitability analyses supporting CEO and CFO reviews.
6-10 years of relevant experience in financial planning and analysis or related finance roles.
Bachelor’s degree or equivalent experience; Master’s degree preferred.
Proficiency in Microsoft Office applications, especially Excel and PowerPoint.
Effective verbal and written communication skills with demonstrated presentation ability.
Experienced in complex financial modeling and strategic financial analysis within a large corporate or banking environment.
Capable of operating with autonomy and serving as a subject matter expert (SME) influencing senior stakeholders and business decisions.
Strong stakeholder management skills with the ability to influence behavior and decision-making across business and finance partners.