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Tier-1 bank brand and metro location increase competition despite senior, niche regulatory requirement.
Strong banking regulatory experience and required US securities licenses limit cross-industry transferability.
Explicit 12+ years requirement and multiple mandatory US securities licenses raise shortlisting strictness.
Communicate regulatory implications and develop organizational responses to regulations affecting banking products and systemic standards (e.g., Basel II/III, MiFID, U.S. Fed).
Lead risk strategic analytics, data quality controls, and regulatory risk project management for delivery of risk solutions (e.g., CECL, stress tests, CCAR).
Manage projects related to portfolio risk reviews, regulatory reporting, and stakeholder engagement including business requirement documentation and client interaction.
12+ years of experience in product program governance and risk management framework.
Bachelor’s degree required; Master’s degree preferred.
Required Licensing/Registration: Series 4, Series 7, Series 9, Series 10, Series 24.
Proficiency in Microsoft Office with strong data analysis and documentation skills, plus knowledge of credit source systems and risk reporting.
Experienced in managing complex regulatory risk projects with multiple stakeholders including legal, compliance, and independent risk.
Strong relationship management skills with ability to influence senior leadership and cross-functional teams.
Knowledgeable in credit and operational risk policies, Citi products, and regulatory risk frameworks relevant to banking and financial services.