





Tier-1 brand and metro location increase density, but senior niche controls role reduces competition.
Highly industry-specific investments operations and securities controls expertise limits cross-industry transferability.
Explicit 10+ years, regulatory controls mandate, and leadership requirements create stringent shortlisting filters.
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Lead and manage a large team responsible for designing, developing, and implementing Citi's comprehensive controls program across Global Wealth Investments Operations areas such as Securities, Brokerage Operations, Alternative Investments, and Capital Markets.
Drive optimization, efficiencies, and controls enhancements including automation and standardization to reduce risk and improve process effectiveness.
Partner with stakeholders and process owners to assess risk appetite, ensure operations remain within risk tolerance, and execute the Enterprise Risk Management Framework and compliance policies.
Bachelor's Degree required; Master's degree preferred.
10+ years of experience in operational risk management, compliance, audit, or control-related functions within financial services.
Strong knowledge of Investments domain covering Securities, Corporate Actions, Mutual Funds, Settlement, Income Processing, Security Pricing, Brokerage Operations, Alternative Investments, and Capital Markets.
Proven expertise in risk and control identification, measurement, remediation, and driving control-related projects and programs.
Experienced leader able to manage and influence large teams and senior stakeholders in a complex financial control environment.
Deep domain expertise in investment operations risk with ability to balance strategic oversight and attention to critical process details.
Proven track record delivering sustainable risk mitigation solutions through process improvement and control framework execution.