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In-Business Risk 1LOD Group Manager - C14 - HEREDIA

Citigroup

In-Business Risk 1LOD Group Manager - C14 - HEREDIA

Citigroup

HEREDIA, Costa Rica

·

On-site

·

Full-time

·

3w ago

Identify and assess key regulatory industry events that could impact Cit's consumer businesses Direct the assessment of regulatory complaints to identify trends, patterns and emerging risks, especially those that indicate potential regulatory compliance breaches. Collaborate with ICRM regularly to ensure correct interpretation and application of requirements. Directs the assessment of issues and customer pain points to determine if there are associated regulation risks. Oversee periodic quality review mechanisms for issue and customer pain points regulation tagging to ensure consistent application, adherence to established standards and regulatory compliance. Prepare presentations to update senior management and various governance committees on developments, emerging risks, control issues, and enhancements. Support assessments of regulatory compliance risks for impacting regulations. Supervise a team responsible for compliance related risk assessment processes. Is an enthusiastic and early adopter of change; takes ownership for helping others see a better future and stay positive during uncertainty. Demonstrates and inspires curiosity in seeking new ways to overcome challenges; actively applies learning from failures. Proactively seeks to understand and act in alignment with organizational decisions; helps others prioritize team and enterprise success over their own personal agenda Focuses on highest-priority work aligned to business goals; helps others effectively manage competing priorities. Proactively identifies opportunities to streamline work; creates process improvements that enhance efficiency for self and the team. Takes personal accountability for escalating, identifying, and managing potential risk; implements controls that enhance the client experience and operational effectiveness. Anticipates problems and proactively identifies solutions that address the root causes and result in meaningful improvements. Sets high expectations and invests the necessary effort to deliver excellence and exceed performance goals. Enthusiastically promotes the unique needs and preferences of colleagues; makes active commitment to help colleagues achieve balance, well-being, and development. Leverages varied networks to recruit diverse talent; advocates for colleagues with diverse skillsets, styles, and experiences to gain career opportunities. 10+ years of progressive experience in regulatory compliance, risk management or internal audit, subject matter expertise in US prioritized regulations including Regulations Z, B, E, ADA, SCRA, MLA, TCPA, UDAAP, FCRA, GLBA, E-Sign Experience in assessing risks and evaluating controls in collaboration with various teams. Deep and comprehensive understanding of regulatory frameworks relevant to consumer banking and broader financial services. Strong strategic analytical skills with the ability to collect, interpret, synthesize and present complex data from various sources to inform high-level decision-making Proficiency in applying requirements and implementing compliance policies. Experience in liaising with 2nd and 3rd LOD partners. Proven ability in preparing presentations on developments and emerging risks for senior management. Advanced proficiency in Microsoft Office Suite, especially Excel, PowerPoint and AI tools Capability to enhance, automate, and simplify control processes. Exceptional written and verbal communication skills, capable of articulating complex compliance risks and strategic findings clearly and persuasively. Superior organizational, project management and leadership skills, essential for driving team performance Bachelor's degree in business administration, Finance, Law, Risk Management or related field. Master's degree or professional certifications (e.g. CRCM) are highly preferred. Analytical Thinking, Business Acumen, Constructive Debate, Escalation Management, Issue Management, Policy and Procedure, Policy and Regulation, Risk Controls and Monitors, Risk Identification and Assessment, Stakeholder Management. ------------------------------------------------------ For complementary skills, please see above and/or contact the recruiter. ------------------------------------------------------

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About Citigroup

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+

Employees

New York City

Headquarters

Reviews

3.3

4 reviews

Work Life Balance

3.0

Compensation

3.2

Culture

2.8

Career

2.5

Management

2.7

35%

Recommend to a Friend

Pros

Compensation increases for investment banking roles

Legitimate investment banking employer

Internship opportunities available

Cons

Unclear career progression paths

Limited meaningful experience in internships

Compensation raises lower than competitors

Salary Ranges

28 data points

Senior/L5

Senior/L5 · Cash & Trade Processing Senior Group Manager

2 reports

$224,732

total / year

Base

$195,245

Stock

-

Bonus

-

$218,500

$230,564

Interview Experience

5 interviews

Difficulty

2.8

/ 5

Duration

14-28 weeks

Experience

Positive 0%

Neutral 40%

Negative 60%

Interview Process

1

Application Review

2

Recruiter Screen

3

Programming Assessment

4

Hiring Manager Interview

5

Panel/Superday Interviews

6

Final Decision

Common Questions

Technical Knowledge

Case Study

Behavioral/STAR

Past Experience

Culture Fit