CITI - Equities Product Control Analyst II
Citi Ciudad de México, Mexico
Financial Services · 10,001+ employees
About the role
The analyst will perform daily profit and loss reporting and analysis while collaborating with cross-functional teams to resolve operational and risk-related concerns. They are also responsible for preparing market commentaries and ensuring the accuracy of financial data through reconciliation and risk attribution analysis.
What they look for
Requirements
Candidates must hold a bachelor's degree in Finance, Accounting, Economics, Math, or a related discipline. Additionally, 1-2 years of relevant work experience in the financial services industry and strong Microsoft Excel skills are required.
Full description
Job Description:
Currently, the Equity Markets Product Control area is seeking an analyst to join the team. This is an exciting opportunity to utilize your analytical skills and increase your knowledge of how equity and equity derivative products are traded and utilized in financial markets. The candidate will be placed within a team that supports the North American Equities Trading business. In this role, the candidate will be exposed to various equity based products, as well as the income statement and balance sheet reporting of these products, additionally the candidate will work closely with traders to understand risk based attributions of the reporting while providing daily written and verbal commentary on the business and market dynamics impacting these numbers. Alongside the reporting the candidate will be asked to detect, and remediate various efficiency based projects, while collaborating with various functions across the Citi team.
Responsibilities include:
- Daily Profit and Loss (P&L) analysis and reporting
- Utilize the front office risk system’s Profit Attribution Analysis (PAA) to help explain the daily P&L movements for the day and ensure daily trading movements are accurate
- Preparation of market commentaries to explain significant P&L movements and events
- Reconciliation of income statement and balance sheet during month end close
- Networking with other areas of Finance to ensure policies and procedures are consistently adhered to
- Collaborating with cross functional teams, including front office, market risk, and operations to resolve open risks
- Performing analysis for ad hoc requests regarding regulatory, valuation, risk and operational concerns.
Requirements
- Bachelor’s degree in Finance, Accounting, Economics, Math, or other related disciplines
- 1-2 years of relevant work experience in the financial services industry or related work experience in an accounting or finance department.
- Strong understanding of Financial Analysis, Markets, and Products
- Effective written, verbal, and telephone based communication skills
- Strong Microsoft Excel skills are a must; other financial systems are a plus
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Job Family Group:
Finance------------------------------------------------------
Job Family:
Product Control------------------------------------------------------
Time Type:
Full time------------------------------------------------------
Most Relevant Skills
Accounting Processes and Financial Controls, Constructive Debate, Data Analysis, Financial Accounting, Financial Reporting, Management Reporting, Policy, Procedure, and Regulation, Portfolio Analysis, Product Knowledge, Risk Identification and Assessment.------------------------------------------------------
Other Relevant Skills
For complementary skills, please see above and/or contact the recruiter.------------------------------------------------------
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