JobsEQ by Chmura Logo

NAM-US-General Professional- Senior

Experis

Location: Tampa, FL 33646
Type: Part-Time, Temporary (unspecified), Temp-to-Hire, Non-Remote
Posted on: May 16, 2022
This job is no longer available from the source.
NEW
Part Time | Freelance
Part Time | Freelance
ManpowerGroup has partnered with a leading Financial Services organization in the Getzville, NY / Tampa, FL / New York City, NY / Irving, TX area for a contract to hire Finance Reporting Analyst to assist their team. Future onsite work is required as per CDC and client guidelines for safe return, local candidates or able to relocate encouraged to apply!
NOTE: This client requires all individuals to be fully vaccinated against COVID-19 by the start date, subject to approved medical or religious exemptions or requests in-process to become compliant.
Title : Finance Reporting Analyst
Location : Getzville, NY / Tampa, FL / New York City, NY / Irving, TX
Job Type : Contract -W2
Job Description
Responsibilities:
• Preparation and analysis of the quarterly, semi-annual and annual Regulatory Reports required by FRB and OCC for Client entities, including FR Y-9C, Call Report, and Comprehensive Capital Assessment Review (CCAR). Other responsibilities include certain earnings release, 10-Q/10-K disclosures, preparation of Board of Directors and Senior Management Presentations and Analyst Packages, maintenance of the global Accounting Policy Manual, internal controls on Regulatory data integrity, data quality improvement projects as well as implementation of new reporting systems.
• Lead several high-level initiatives which includes review of various reporting, executing transformation commitments, and analyzing data tracing exceptions.
• Work and partner with multiple areas across Citi, including Controllers, Treasury, Risk, Accounting Policy, Financial Planning and Analysis, Capital Planning, Finance & Risk Shared Services, Legal, and the Enterprise Chief Data Office, Internal Audit to maintain a high level of quality and accuracy of the report filings.
• Responsible for providing robust metrics, data-driven insights, and effective technologies for best-in-class risk quantification across the FR Y-14 schedules as well as to develop materials supporting the CCAR CFO attestation.
• Apply quantitative techniques and solutions to analyze large datasets for FR Y-14 Schedules and broader CCAR datasets
• Develop FR Y-14 attestation materials and dashboards for senior management summarizing the results of the review prior to submission
• Perform issues assessments, including quantitative and qualitative issues impacting specific schedules included in Citi's Y-14 (CCAR) filings. Investigating and assessing issues raised by regulators on items reported in Y-14 schedules related to actuals
• Assess the effectiveness of known compensating controls and assessing issues for possible restatement. Maintain a log of the issues and assessments (including remediation programs and compensating controls) for issues identified
• Review the existing exception management process, internal and regulatory, to assess data quality and completeness while proposing and implementing enhancements where required
• Assist in driving remediation of material issues impacting our internal and external reporting on a timely basis.
• Participate in formulating and setting strategic direction for the process, organization and architecture covering Finance across Citi businesses, products, functions and locations.
• Participate in assessing and incorporating changing business, regulatory and market information needs into finance processes and applications.
• Play a part in understanding local regulatory needs and ensuring those are captured in the development of global target state tools for automation.
• Communicate effectively, clearly, concisely and accurately using written and verbal communications with Senior Management, Regulatory Agencies and Internal/External Auditors as well as the investor community.
C12's
• 3+ years of work experience in Financial/Regulatory Reporting or Finance within a major financial institution
Experience with regulatory, finance and/or risk management reporting (such as Market Risk, Wholesale Credit Risk, and/or Financial Planning & Analysis)
C13's
• 5+ years of relevant experience and in-depth knowledge of banking system and products (such as Derivative, Loan, Deposit, etc) is a plus. Strong familiarity with GAAP/SEC financial reporting preferred.
C14's
• 8+ years of work experience in Financial/Regulatory Reporting/Risk Management (Credit, Market or Liquidity) function within a major global financial institution
• Familiarity with Risk and Finance reporting data infrastructures and platforms across multiple products, functions, and/or businesses preferred
• Advanced Microsoft Office skills and basic programming skills. Strong proficiency in MS Excel required
• Proven track record analyzing complex financial reporting items in a high-profile environment
• Ability to develop effective and productive working relationships with a wide range of groups across Citi as well as external auditors and regulators and different levels of management
• Highly motivated and goal-oriented with ability to lead in a professional and challenging environment and deliver results against fast-paced deliverable deadlines; as well as ability to make decisions in the absence of detailed instructions.
• Demonstrated ability to manage multiple priorities under demanding time frames and respond appropriately and competently to the demands of work challenges when confronted with changes, ambiguity, adversity, and other pressures.
• Exceptional analytical, strategic and problem-solving skills coupled with a strong and broad- based finance and internal control skills and attention to detail
• Outstanding communication, interpersonal and influencing skills coupled with an ability to build a broad base of support among key decision makers at all levels of the organization. Demonstrated success in collaborating and building relationships and influencing across the organization
• Experience with regulatory, finance and/or risk management reporting (such as Market Risk, Wholesale Credit Risk, and/or Financial Planning & Analysis)
• Project Management or Senior BA experience within a major global financial institution
• Strong proficiency in extracting and analyzing large data sets from databases using at least one programming language (SQL). Strong proficiency in BI and dashboarding tools like Tableau, Power BI .
Education: Bachelor's degree required. CPA/CFA/FRM/MBA Qualifications are a plus
Location/Region: Tampa, FL (33646)