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Citigroup
Citigroup

Global investment banking and financial services

Credit Risk Model Monitoring Analytics Intermediate Analyst

직무오퍼레이션
경력미들급
위치BANGALORE, Karnātaka, India
근무오피스 출근
고용정규직
게시1개월 전
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Citi’s Risk Modeling Solutions department is responsible for the development, delivery, and monitoring of all credit risk models across Citi’s consumer lending portfolios globally. These models span two core activities: granting and managing credit to individual customers and delivering loss forecasts for stress testing (ex. CCAR), loan loss reserving (ex. CECL), and business planning.

Role:

The Model Monitoring Analytics – C11 position sits within the Decision Model Monitoring & Business Analytics team and is responsible for:

Core Responsibilities:

This position within Global Consumer Banking will focus on model performance Monitoring, Analytics & Insights for Non-Regulatory Decision Models for Unsecured products (e.g., Credit Cards). The responsibility includes but not limited to the following activities:

  • Perform Root Cause Analysis explaining model performance to second line of defense and Policy teams for Business risk decisioning.
  • Analyze & bring out Insights for Credit Risk Non-Regulatory Scoring/ Non-Scoring Segmentation models adding business value. This would include performance assessment, drill down root cause analysis for performance deterioration, mitigation action providing rational for continued usage of the model as applicable.
  • Present model performance to senior stakeholders, CROs, Risk Policy managers, Sponsors explaining the heath of the model, connecting model metrices to business scenarios explaining the breach in model performance.
  • Partnering with Risk Policy leads to help understanding the levers / cut off adjustments required in scores baked in Risk strategies to bring in incremental benefit / loss mitigation to business.
  • Explain model performance to second line (Model Risk Management) of defense providing rational for model performance deterioration, explaining the applicability of the usage of the model.
  • Respond to queries from 3rd Line of Defense (Internal and External Auditors) on model performance.
  • Work effectively across cross functional teams
  • Development, Implementation, Policy, Validation and Governance teams - coordinating the horizontal model usage and maintenance activities.
  • Perform analysis for benchmark models and other ad hoc analysis as required by business/validation teams.
  • Develop knowledge and drive discussions on Model usage across channels, score range with Risk Strategy managers.
  • Conduct QA/QC on all steps (e.g., input data, model output, etc.) required for model monitoring and production forecast reporting.
  • Deliver comprehensive write-up of ongoing model performance assessment, Annual Model Review / Revalidation documents.
  • Understand model variables and economic forecasts and conduct drill down analysis and reporting of model performances.
  • Deliver end user computing process related mandates.
  • Expected to manage own projects independently.
  • Train and mentor junior team members on Model Monitoring, generating insights from different analysis required by business.
  • Individual Contributor

Education:

Advanced Degree (Bachelors required or Masters preferred) in Statistics, Computer Science, Operations Research, Economics, etc. MBA s should apply only if they are interested in career in specialized quantitative risk management discipline.

Skillset

  • Strong programming (SAS, SQL, Python, Tableau, etc.) skills.
  • Experience in reporting tools
  • Excel, Tableau,
  • Understanding of traditional modeling processes (linear/ logistic regression, segmentation, decision tree) and machine learning algorithms (Random Forest, Gradient Boosting, XG Boost, SVM, etc.), time series, linear/nonlinear optimization.
  • Understanding of relevant model metrics / KPIs & bring out insights on model performance tracking.
  • Good communication skill to communicate technical information verbally and in writing to both technical and non-technical audiences is a must.
  • Extensive experience in model monitoring/validation, performance scorecards, etc. in Excel, Tableau, Cognos, etc.
  • Experience in developing optimal/ automated solution of reporting processes using SAS, Excel VBA, Tableau will be a plus.

Qualification:

  • 5+ Years reporting & analytics experience.
  • Extensive experience in reporting (risk/marketing) in portfolio reporting, model monitoring, generating business insights.
  • Experience in adoption of AI in bringing efficiency into core functional process, automating reports would be a plus.

Job Family Group:

Risk Management

Job Family:

Model Development and Analytics:

Time Type:

Full time

Most Relevant Skills

Analytical Thinking, Business Acumen, Constructive Debate, Data Analysis, Escalation Management, Policy and Procedure, Policy and Regulation, Risk Controls and Monitors, Risk Identification and Assessment, Statistics.

Other Relevant Skills

For complementary skills, please see above and/or contact the recruiter.

Citi is an equal opportunity employer, and qualified candidates will receive consideration without regard to their race, color, religion, sex, sexual orientation, gender identity, national origin, disability, status as a protected veteran, or any other characteristic protected by law.

If you are a person with a disability and need a reasonable accommodation to use our search tools and/or apply for a career opportunity review Accessibility at Citi.

View Citi’s EEO Policy Statement and the Know Your Rights poster.

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Citigroup 소개

Citigroup

Citigroup

Public

Citigroup Inc. or Citi is an American multinational investment bank and financial services company based in New York City. The company was formed in 1998 by the merger of Citicorp, the bank holding company for Citibank, and Travelers; Travelers was spun off from the company in 2002.

10,001+

직원 수

New York City

본사 위치

$86B

기업 가치

리뷰

10개 리뷰

3.7

10개 리뷰

워라밸

3.8

보상

2.5

문화

4.0

커리어

3.2

경영진

3.5

65%

지인 추천률

장점

Good work-life balance

Supportive management and colleagues

Good benefits

단점

Low or uncompetitive salary/pay

Long hours during peak times

Poor management and lack of direction

연봉 정보

48개 데이터

Senior/L5

Senior/L5 · Cash & Trade Processing Senior Group Manager

2개 리포트

$247,000

총 연봉

기본급

$195,245

주식

-

보너스

-

$247,000

$247,000

면접 후기

후기 3개

난이도

3.3

/ 5

소요 기간

14-28주

경험

긍정 0%

보통 33%

부정 67%

면접 과정

1

Application Review

2

Recruiter Screen

3

Technical Interview

4

Panel/Group Interview

5

Final Round

6

Offer

자주 나오는 질문

Technical Knowledge

Coding/Algorithm

Behavioral/STAR

Past Experience

Culture Fit