
Balance Sheet Strategy Lead - Liquidity & IRR
Citigroup Inc., New York, NY, United States
A leading financial services company seeks a Balance Sheet Management Lead Analyst in New York, NY. The role involves prioritizing business requirements in Treasury risk management, engaging with subject matter experts to improve liquidity stress testing, and analyzing impacts on key financial metrics. Candidates require a Bachelor’s degree in Finance or a related field, six years of experience in risk management, and proficiency in tools like Excel and Tableau. Competitive compensation and benefits offered.
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