Functions - Risk Management, Full Time Analyst, Irving - USA, 2027
About the Role
The Risk Management Analyst program offers two one-year rotations. In both rotations, Analysts will broaden their skill sets, develop analytical skills, increase knowledge in different disciplines, and build professional networks and leadership capabilities. This rotation process helps Analysts develop a solid knowledge base and a broad range of skills while preparing them for future leadership roles in Risk Management. Success in the program is a solid first step toward a successful career at Citi.
Analysts are placed in a specific role within one of the Risk disciplines. For prior Summer Analysts, the rotation is typically in a new discipline to maximize development opportunities. During each rotation, Analysts work closely with management teams and are provided the opportunity to add value to Citi. The rotations are structured to respond to the increasingly regulatory, quantitative, and technical demands of the financial world. Analysts are required to move to a Risk role different from a summer placement or rotation (a different discipline is recommended) for all placements. The goal of the second rotation is to broaden Risk skills, knowledge of the organization, and expand networks.
Program Highlights
- Senior Access: Analysts have frequent access to Citi's senior Risk leaders while working with selected managers who guide them to maximize their potential and develop their careers.
- Global Reach: Exposure to global perspectives and businesses. Analysts have opportunities to build relationships within the Risk Management community that can be leveraged throughout their career.
- Leadership: Analysts are encouraged to develop their management skills during their rotations.
- Responsibility: Part of Citi's growth strategy depends on the entrepreneurial spirit of employees. Analysts can apply their leadership skills in a customized curriculum to accelerate learning and professional development.
- Empowerment: Analysts are challenged to become involved in the fast-paced analytical and dynamic financial environment of a world-class corporation.
Requirements
- Currently pursuing a BA/BS degree in Economics, Accounting, Finance, Engineering, Mathematics, or Statistics (graduating in December 2026 through June 2027).
- Currently maintain a GPA of 3.3 or above.
- Must possess valid US work authorization; will not require sponsorship for U.S. work authorization now or in the future.
- Creative in solving problems and intellectually curious.
- Strategic and analytical mindset; strong data analytical skills.
Ideal Candidate Profile
You are interested in Risk and determined to succeed in the field. You reinforce the Risk Management Charter, ensure Citi’s safety and soundness, enhance capabilities in focus segments, and help make Citi a great place to work. As industries evolve, we seek professionals with a global perspective and a strong desire for international exposure, new business challenges, and diversity.
Benefits
- Competitive employee benefits, including medical, dental, and vision coverage.
- 401(k) retirement plan.
- Life, accident, and disability insurance.
- Wellness programs.
- Paid time off packages, including vacation, sick leave, and holidays.
- Discretionary and formulaic incentive and retention awards (for eligible employees).
Available offerings may vary by jurisdiction, job level, and date of hire.
Pay
Full-time salary range: $60,000.00 - $145,000.00.
Schedule
Full time.
Location
Irving, Texas, United States.