ID oferty: 7189
Źródło: solidjobs
Umiejętności: Zarządzanie Ryzykiem (Expert) , Analiza portfela (Expert) , Myślenie analityczne (Expert) , Python (Advanced) , Analiza danych (Advanced) , Root cause analysis (Advanced) , MS Excel (Advanced) , MS PowerPoint (Advanced) , Dokumentacja projektowa (Advanced) , Komunikacja (Advanced) , MS Word (Basic) , AI (Basic)
Miejsce pracy: hybrid , Warszawa
Języki: Polski (Expert) , Angielski (Advanced)
Benefity:
Poziom doświadczenia: Regular
Kategoria: Księgowość i finanse
Kategoria Solid Jobs: OtherFinances
Podkategoria: OtherFinances
Dział: Finances
Opis:
Czym będziesz się zajmować?
Responsibilities:
- Analyse model output, portfolio and economic changes to assess quarterly overlays for CECL, CCAR and cost-of-credit planning.
- Implement approved overlays with sourced data, repeatable calculations, documented assumptions and controls.
- Challenge unsupported assumptions, recommend alternatives, and prepare executive PowerPoint decks and approval documents under governance policy.
- Report approved overlays to systems and maintain relevant data repositories.
- Reconcile data quality and completeness, reviewing outputs for relevance and reasonableness.
- Provide project-management support for documentation, approvals, automation, regulatory solutions and Model Sponsorship priorities.
- Hybrid working model with up to 2 days working from home per week.
- Employer-paid 6% pension contribution, private medical care and life insurance.
- Employee assistance, paid parental leave, subsidised sport card and social benefits.
- Volunteer day, flexible benefits cafeteria, annual incentive opportunity and employee discounts.
Kogo poszukujemy?
Key requirements:
- Bachelor's or university degree.
- Minimum 6 years of financial industry experience, including at least 2 years in the current role.
- Proficiency in Python, Microsoft Office, especially Excel, PowerPoint and Word, plus technical documentation.
- Digital fluency and intellectual curiosity about AI tools.
- Analytical thinking, root cause and trend identification, data analysis and reconciliations.
- Ability to organise and execute projects, communicate clearly, manage time, work independently and take initiative.
- Ability to support regulator and auditor requests and remediation or corrective action plans.
- Wholesale CCAR or stress testing, CECL, or portfolio credit risk management experience.
- Business analysis skills and ability to interpret requirements when liaising with Technology Developers.
Czego wymagamy?
6 lat doświadczenia na podobnym stanowisku
Znajomości:
- Zarządzanie Ryzykiem
- Analiza portfela
- Myślenie analityczne
- Python
- Analiza danych
- Root cause analysis
- MS Excel
- MS PowerPoint
- Dokumentacja projektowa
- Komunikacja
- MS Word
- AI
- Polski
- Angielski
Jakie warunki i benefity otrzymasz?
- 18.6k–31.7k PLN brutto/m (Umowa o pracę)
- Umowa o pracę - Elastyczne godziny pracy (100%)
- Praca zdalna: Hybrydowo
- Pakiet medyczny, Ubezpieczenie, Pakiet sportowy
Kim jesteśmy?
Working at Citi is far more than just a job. A career with us means joining a team of more than 225,000 dedicated people from around the globe. At Citi, you will have the opportunity to grow your career, give back to your community and make a real impact.
We offer a broad range of opportunities across multiple business lines, each contributing to our mission of driving global progress. Whether you're interested in banking, technology, or investment services, our teams collaborate to deliver innovative solutions that make a positive impact.
Explore our businesses and learn more about what it’s like to work at Citi.
Wynagrodzenie min: 18600
Wynagrodzenie max: 31700
Waluta wynagrodzenia: PLN
Okres wynagrodzenia: Month
Rodzaj zatrudnienia: UoP
Utworzono: 29.09.2026 11:41