Sec & Derivatives Associate Analyst Hybrid
This role is for a developing professional who identifies policy and applies specialty knowledge in monitoring and assessing processes and data within securities and derivatives operations.
About the role
Integrates established disciplinary knowledge within the specialty area with a basic understanding of related industry practices. Develops working knowledge of industry practices and standards, with a good understanding of how the team interacts with others to accomplish objectives. The role has a limited but direct impact on the business through the quality of tasks and services provided, primarily within the team.
Responsibilities
- Execute securities transaction processing, including securities clearance, settlement, and derivative operations.
- Provide analytic support to traders and review derivative products.
- Support an expansive and diverse array of products and services.
- Follow established procedures to identify problems related to securities and derivatives settlement requiring investigation or research.
- Assist in resolving problems by identifying and selecting solutions through acquired technical experience, guided by precedents.
- Deliver reports to satisfy management requirements, support control activities, and launch products/services.
- Assist in implementing process improvements.
- Minimize risk to the bank by understanding and adhering to procedural requirements, including reconciliation, payment, and other processing systems.
- Manage and escalate requests, inquiries, issues, and errors (primarily post-settlement) in a timely manner.
- Demonstrate an intermediate understanding of products, processes, and how duties integrate with the team and closely related teams.
- Utilize strong communication, interpersonal, and diplomacy skills to interact with colleagues and stakeholders, exchanging complex or sensitive information while being sensitive to audience diversity.
- Appropriately assess risk in business decisions, considering the firm’s reputation and safeguarding Citigroup, its clients, and assets by driving compliance with applicable laws, rules, and regulations, adhering to policy, and applying sound ethical judgment.
Requirements
- 0-2 years of experience working in Treasury Operations or Middle Office.
- Good understanding of Treasury products, accounting, and regulatory policies.
- Ability to work in a structured, high-volume, time-sensitive, and high-risk environment.
- Good analytical skills and a positive attitude.
- Knowledge of Macros.
Qualifications
Bachelor’s/University degree or equivalent experience.
Pay
Full-time salary range: $55,341.00 - $68,270.00. In addition to salary, eligible employees may receive discretionary and formulaic incentive and retention awards.
Benefits
- Medical, dental, and vision coverage.
- 401(k) retirement plan.
- Life, accident, and disability insurance.
- Wellness programs.
- Paid time off, including vacation, sick leave, and holidays.
Schedule
Full time.
Primary location: Getzville, New York, United States.