





Tier-1 bank, mid-level experience, and metro location increase candidate competition.
Credit card and consumer lending risk skills are industry-specific and not easily transferable.
Explicit 4+ years, domain expertise, and mandatory SQL/SAS/Python make filters strict.
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Manage Citi's global credit portfolio exposure by conducting credit reviews, approvals, and monitoring for credit migration.
Prepare structured presentations and lead discussions in risk governance forums, providing insights and recommendations to senior risk and business leaders.
Ensure audit readiness, strong documentation, and compliance with laws, policies, and ethical standards in credit risk management.
4+ years of relevant experience in credit card risk analytics, consumer lending, or financial analytics.
Bachelor's degree or equivalent in business, Statistics, Mathematics, Finance, Economics, or related quantitative fields.
Proficiency in advanced SQL, and strong experience with SAS and/or Python.
Strong command of credit risk analytics including vintage, segmentation, forecasting and understanding of risk factors like stress testing, collateral risk, concentration risks, liquidity, and wrong way risk.
Experienced in credit portfolio risk management with ability to translate analytics into impactful business decisions and influence senior stakeholders.
Skilled in advanced data visualization and storytelling using PowerPoint within a credit risk context, particularly around credit card lifecycle and risk economics.
Strategic thinker with strong problem structuring skills, able to work collaboratively across teams and drive compliance and governance in risk management.