Global Market Risk Business Planning and Analysis Vp - London, United Kingdom - eFinancialCareers

Tom O´Connor

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Tom O´Connor

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Description
The Global Market Risk Business Planning and Analysis VP is responsible for the overall administrative activities of a function. These tasks may include managing external vendors, business continuity activities or addressing day-to-day operational issues.

The Global Market Risk Business Planning and Analysis VP may coordinate and manage activities such as the tracking of team budget/financials, employee headcount, records management and other organizational needs as necessary.

The role also manages global adhoc projects as requested.


Responsibilities:


  • Serve as communications lead for internal messaging. Advise, write and edit on GMRwide communications.
  • Advance organization/people strategy goals including communications strategy, talent strategy, and employee engagement initiatives.
  • Assist Global Market Risk (GMR) Leadership team and GMR CAO in promoting and executing communications program.
  • Drive productivity/cost savings initiatives in partnership with the senior management team
  • Participate in People Engagement Working Group and promote Voice of the Employee (VOE) communications.
  • Develop monthly communications metrics to monitor and measure impact of the communication plan.
  • Complete financial deliverables including monthly budget forecasts, midyear forecasts and ad hoc requests.
  • Leverage technology and tools to enable communications and generate excitement and interest in risk communications.

Qualifications:


  • Comfortable in doing financial projections and analyzing data.
  • Proficient in MS Excel, MS Access, MS Powerpoint, MS Publisher, and Visual Basic.
  • Demonstrates clear and concise written and verbal communication skills. Experienced in presenting to global seniors.
  • Effective coordination and organizational influencing skills required.
  • Third party vendor management preferred. Demonstrated ability to lead global team efforts.
  • Demonstrates foresight with excellent problemsolving skills. Ability to see the big pictures with high attention to critical details.
  • Demonstrated ability to develop and implement strategy and process improvement initiatives.

Education:


  • Bachelor's Degree/University degree or equivalent experience
  • Master's degree preferred
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Job Family Group:

Risk Management

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Job Family:

Market Risk

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Time Type:

Full time

  • Citi is an equal opportunity and affirmative action employer.

Qualified applicants will receive consideration without regard to their race, color, religion, sex, sexual orientation, gender identity, national origin, disability, or status as a protected veteran.

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