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Are you looking for a career move that will put you at the heart of a global financial institution? Then bring your skills in analysis, problem solving and communication to Citi’s Risk and Control Client Asset Protection team. The Risk and Control team is a critical component of the firm's first line of defense, responsible for ensuring the integrity of the control environment and the protection of client assets. The team works collaboratively with business operations, compliance, and internal audit to identify, assess, mitigate, and report on operational risks in accordance with firm policies and regulatory requirements. Our primary mission is to maintain a robust control framework that safeguards client assets and ensures the firm's adherence to all applicable regulations, including but not limited to the FCA's Client Assets Sourcebook (CASS).
Job Responsibility:
Support the groups compliance with Financial Conduct Authority (FCA) CASS, Central Bank of Ireland (CBI) CAR, and MiFID II regulations
Lead and facilitate various governance and oversight meetings with key stakeholders and senior management
Track issues, breaches, and incidents, ensuring root cause analysis and remediation plans are robust and executed in a timely manner
Collaborate with External Audit, Internal Audit, Compliance, and key business stakeholders to coordinate audit activities, ensuring timely understanding, addressing, and evidencing of requirements
Perform thematic reviews, deep dives, and risk assessments to identify control weaknesses and emerging risks
Acting as a point of contact and bridge between the client asset office and the business lines, functions on client asset matters
Provide oversight over the groups Managers Controls Assessment (MCA) and the Client Asset Risk Evaluation (CARE)
Collaberate with partners in business to ensure they are aware of their regulatory obligations
Help drive and manage control enhancements focused on increasing efficiency and reducing risk
Requirements:
Relevant experience in operational risk management, compliance, audit, or other control-related functions in the financial services industry
Knowledge of Client Assets and Depositor Protection regulations in the UK and Ireland highly desirable
Able to balance regulatory requirements with business practicality
Ability to identify, measure, and manage key risks and controls
Proven experience in implementing sustainable solutions and improving processes
Strong analytical skills to evaluate complex risk, control and regulatory activities and processes
Strong verbal and written communication skills, with a demonstrated ability to engage at the senior management level
Strong problem-solving and decision-making skills
Ability to manage multiple tasks and priorities
Proficiency in Microsoft Office suite, particularly Excel, PowerPoint, and Word
What we offer:
Generous holiday allowance starting at 27 days plus bank holidays
increasing with tenure
A discretional annual performance related bonus
Private medical insurance packages to suit your personal circumstances
Employee Assistance Program
Pension Plan
Paid Parental Leave
Special discounts for employees, family, and friends
Access to an array of learning and development resources