Finance Regulatory Reporting SVP
CitiAbout the role
Responsibilities:
Lead and execute regulatory remediation such as consent order deliverables and regulatory MRA/MRIAs
Lead and participate in the review of multiple areas of regulatory filings such as FR Y-9C, Call Report, and other US Bank Regulatory Reports
Lead in-depth analysis of variances focusing on various products such as loans, securities, deposits and derivatives, incorporating the understanding of regulatory reporting along with financial analysis in order to communicate results to Senior Management and US Regulatory Agencies
Keep abreast of industry, regulatory, and accounting developments. Apply solid knowledge of Finance/accounting concepts and principles to ensure accurate Regulatory Reporting filings. Review new regulatory reporting requirements and US GAAP accounting pronouncements, to determine the impact on the Regulatory Report filings. Continually monitor developments in the Federal Reserve Reporting Arena and assist the Citi Finance functions in implementing and meeting the reporting requirements
Communicate effectively, clearly, concisely and accurately using written and verbal communications with Senior Management, Regulatory Agencies and Internal/External Auditors as well as the investor community
Exceptional verbal and written presentation skills, with the ability to present complex concepts in a concise, succinct manner to all organizational levels
Work and partner with multiple areas across Citi, including Controllers, SEC Reporting, Treasury, Risk, Accounting Policy, Financial Planning and Analysis, Mergers & Acquisitions, Legal, and Investor Relations to maintain a high level of quality and accuracy of the report filings. Establish strong working relationships with key contacts
Manage, train, mentor, and evaluate assigned staff
Drive reengineering, process efficiencies and continuous process improvement efforts to strengthen controls. Participate in data quality improvement projects to strengthen controls and improve report accuracy
Lead/participate in regulatory exams, internal audits and address external analysts’ questions. Maintain effective and professional relationships with regulators, internal and external auditors
Lead/participate in projects and ad-hoc requests
Other responsibilities include conducting thorough research and analysis of regulatory reporting, and other regulatory matters, as warranted, and presenting results in a well-conceived and clear fashion
This individual will have an opportunity to work with team members across NY and Tampa, primarily consisting of MBAs and CPAs, who are engaged with and supportive of one another and in an environment which promotes and sustains continuous development and growth. Global Regulatory Reporting Group’s mission is to provide complete and accurate consolidated financial statement analysis and other related information to the regulators, investors, outside analysts and senior management on a timely basis and in the most efficient manner possible
Qualifications:
Minimum 10+ years of financial analysis/reporting experience.
Most have US Regulatory Reporting experience ( FR Y-9C, FFIEC 031, FR Y-15, FR Y-14, FFIEC 030, FR2314, FR Y-12 and other US Bank regulatory reports) related to various products such as loans, securities, deposits and derivatives.
Strong familiarity with GAAP/SEC financial reporting
Bachelor's degree in Accounting/Finance
CPA/MBA Preferred
Strong leadership skills<
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