
Overview
Citi’s Global CRE Finance group is seeking an intermediate level portfolio / asset manager in business. The position will be based in NY and will be covering Citi’s balance sheet exposures globally (NAM, EMEA and APAC) with a focus of NAM region. Responsibilities
Manage and track Citi's CRE portfolio movements (maintain the portfolio database to ensure accuracy of all data to support strategic business reporting, planning, analysis and initiatives). Active credit surveillance of all balance sheet positions, including, but not limited to: financial analysis, updated underwriting, market research and sponsor financial conditions. Prepare quarterly / annual portfolio and loan reviews to be presented to senior management in business and risk. Manage asset management functions throughout the post-closing life cycle, including: loan servicing, future fundings, extension/modification requests, payoffs, tracking of required documentation and administrative/loan modification requests from sponsors and servicers. Monitor key global CRE business limits including risk weighted assets and risk capital, requiring constant coordination with teams in all regions. Manage P&L reconciliation with middle and back office functions to ensure accuracy of both revenue and financing charge. Project management of various data and processes initiatives in identified areas for improvement, covering the full loan cycle. Ad hoc analysis for senior management, auditors and regulators, including exposure analysis, portfolio/asset stress analyses, and others as appropriate. Qualifications
3-5 years of relevant experience within commercial real state Advanced MS Excel modeling skills; proficiency with MS office required; Familiar with database technology, relative experience preferred. Consistently demonstrates clear and concise written and verbal communication skills Self-motivated and driven Exceptional ability to collaborate across functions; Superior analytical and problem-solving Ability to work under pressure in a rapidly changing environment in order to meet deadlines Ability to work on multiple projects simultaneously Education
Bachelor's degree/University degree or equivalent experience This job description provides a high-level review of the types of work performed. Other job-related duties may be assigned as required. Anticipated Posting Close Date:
Feb 17, 2026 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. For accessibility inquiries, please review Citi’s Accessibility at Citi.
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Citi’s Global CRE Finance group is seeking an intermediate level portfolio / asset manager in business. The position will be based in NY and will be covering Citi’s balance sheet exposures globally (NAM, EMEA and APAC) with a focus of NAM region. Responsibilities
Manage and track Citi's CRE portfolio movements (maintain the portfolio database to ensure accuracy of all data to support strategic business reporting, planning, analysis and initiatives). Active credit surveillance of all balance sheet positions, including, but not limited to: financial analysis, updated underwriting, market research and sponsor financial conditions. Prepare quarterly / annual portfolio and loan reviews to be presented to senior management in business and risk. Manage asset management functions throughout the post-closing life cycle, including: loan servicing, future fundings, extension/modification requests, payoffs, tracking of required documentation and administrative/loan modification requests from sponsors and servicers. Monitor key global CRE business limits including risk weighted assets and risk capital, requiring constant coordination with teams in all regions. Manage P&L reconciliation with middle and back office functions to ensure accuracy of both revenue and financing charge. Project management of various data and processes initiatives in identified areas for improvement, covering the full loan cycle. Ad hoc analysis for senior management, auditors and regulators, including exposure analysis, portfolio/asset stress analyses, and others as appropriate. Qualifications
3-5 years of relevant experience within commercial real state Advanced MS Excel modeling skills; proficiency with MS office required; Familiar with database technology, relative experience preferred. Consistently demonstrates clear and concise written and verbal communication skills Self-motivated and driven Exceptional ability to collaborate across functions; Superior analytical and problem-solving Ability to work under pressure in a rapidly changing environment in order to meet deadlines Ability to work on multiple projects simultaneously Education
Bachelor's degree/University degree or equivalent experience This job description provides a high-level review of the types of work performed. Other job-related duties may be assigned as required. Anticipated Posting Close Date:
Feb 17, 2026 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. For accessibility inquiries, please review Citi’s Accessibility at Citi.
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