Senior Margins Business Analyst - Vice President
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Job Description
Structured overview of role & requirementsAbout This Role
Lead business analysis and solution design for Citi's Margin & Risk technology platforms, focusing on regulatory, risk, margining, and platform modernization initiatives.
Manage complex cross-functional technology delivery including stakeholder management, backlog prioritization, sprint planning, and release activities to ensure timely delivery of strategic initiatives.
Provide domain expertise in derivatives, margin, collateral management, and risk management while driving data analysis, control frameworks, and AI-enabled process improvements.
Minimum Requirements
8-12 years of experience in Business Analysis, Product Analysis, Systems Analysis, or Technology Delivery within Financial Services.
Strong expertise in derivatives, margining, collateral management, risk management, and post-trade processing.
Proficiency in SQL and data analysis; experience with system integrations, APIs, event-driven architectures, and analyzing large datasets.
Bachelor's Degree in Technology, Computer Science, Finance, Engineering, Mathematics, or related discipline; Master's preferred.
Ideal Candidate Profile
Experienced in driving large-scale global initiatives involving multiple stakeholders in investment banking or capital markets technology environments.
Deep domain knowledge of margin and risk methodologies (e.g., VAR, SIMM, Credit Stress), OTC derivatives products, and regulatory margin frameworks.
Skilled in Agile delivery, strong communication with senior management, and capable of leading and mentoring teams including offshore resources.
