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Model/Analysis/Validation Sr. Analyst

https://www.citi.com/ Logo

Citi

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Location:
United States , Tampa

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Category:

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Contract Type:
Not provided

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Salary:

103590.00 - 130920.00 USD / Year

Job Description:

Citibank, N.A. seeks a Model/Analysis/Validation Sr. Analyst for its Tampa, FL location. Working at Citi is far more than just a job. A career with us means joining a team of more than 230,000 dedicated people from around the globe. At Citi, you’ll have the opportunity to grow your career, give back to your community and make a real impact.

Job Responsibility:

  • Support market risk analytics projects in multiple areas, including FRTB (Fundamental Review of the Trading Book, the next generation of market risk regulatory framework), CCAR (Comprehensive Review of the Trading Book), and LIBOR transition
  • Develop market risk models critical for quantifying the market risk exposures of Citi’s trading book and calculating regulatory capital
  • Collaborate with other teams include Risk IT to implement new models, resolve production issues and enhance existing implementation
  • Calibrate model parameters, perform variance analysis to explain the changes in model output due to parameter updates
  • Perform ongoing analysis of models, including back testing and profit attribution analysis (PAA)
  • Engage market risk managers and the businesses on analytics-related matters on a regular basis
  • Develop and maintain technical documentation
  • Support various tasks in response to regulatory and internal risk management requirements

Requirements:

  • Bachelor’s degree, or foreign equivalent, in Mathematical Finance and Financial Technology, Applied Mathematics, Statistics, Economics, or a related field
  • Two (2) years of experience in the job offered or in a related quantitative occupation supporting market risk analytics
  • Two (2) years of experience must include: Utilizing computational languages including Python, SQL, Matlab, and Perl in Linux/Windows environments
  • Utilizing knowledge of Mathematics and Statistics including partial differential equations, probability theory, and mathematical modelling to develop, implement, analyze, and enhance methodologies, algorithms, and diagnostic tools for market risk models VaR models
  • Performing VaR backtesting, PAA and on-going model performance analysis for VaR models of credit products
  • Implementing regulatory requirements including Basel 2.5 and Fundamental Review of Trading Book
  • Analyzing complex data sets for financial products including their derivatives for their pricing theory, methodologies, and corresponding risk quantification
  • Preparing and maintaining model documents for model assessment including data analysis, model methodology, model change and model performance analysis
What we offer:
  • medical, dental & vision coverage
  • 401(k)
  • life, accident, and disability insurance
  • wellness programs
  • paid time off packages, including planned time off (vacation), unplanned time off (sick leave), and paid holidays
  • discretionary and formulaic incentive and retention awards

Additional Information:

Job Posted:
February 05, 2026

Expiration:
March 17, 2026

Employment Type:
Fulltime
Work Type:
Hybrid work
Job Link Share:

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