Citibank has invited eligible candidates for different branches in India.
Citibank is the consumer division of financial services multinational Citigroup. Citibank was founded in 1812 as the City Bank of New York, and later became First National City Bank of New York.
Fund Accounting Specialist
Job Description
The Fund Accounting Specialist is an entry-level position responsible for assisting in a variety of fund valuation activities in coordination with the Operations – Transaction Services team. The overall objective of this role is to assist in the calculation of daily and periodic Net Asset Valuations (NAVs) for funds and the distribution of associated unit prices.
Qualifications
Treasury Transformation
Job Description
The position will work closely with Risk Reporting/Risk Management, Finance/Product Control, as well as members of Treasury, to report on, monitor, and forecast the company’s liquidity position. The position will involve monitoring and forecasting short term liquidity needs as well as analyzing the group’s structural liquidity and its impact on the organization’s aggregate position.
Qualifications
The ideal candidate will have a BCOM/CA/MBA/ Other Finance Masters and 10 to 15 years’ work experience in finance or a related discipline (e.g. Risk Management, Risk Reporting, Product Control, Audit, etc.)
FRSS Treasury Transformation Reporting
Job Description
The position will work closely with Risk Reporting/Risk Management, Finance/Product Control, as well as members of Treasury, to report on, monitor, and forecast the company’s liquidity position. The position will involve monitoring and forecasting short term liquidity needs as well as analyzing the group’s structural liquidity and its impact on the organization’s aggregate position.
Qualifications
The ideal candidate will have a BCOM/CA/MBA/ Other Finance Masters and 7 to 12 years’ work experience in finance or a related discipline (e.g. Risk Management, Risk Reporting, Product Control, Audit, etc.)
Fund Accounting Group Manager
Job Description
The Fund Accounting Group Manager is a senior management level position responsible for accomplishing results through the management of a team or department, driving a variety of fund valuation activities in coordination with the Operations – Transaction Services team. The overall objective of this role is to ensure the seamless delivery of activities associated with Net Asset Valuations (NAV’s).
Qualifications
Fund Accounting Specialist
Job Description
The Fund Accounting Specialist is an entry-level position responsible for assisting in a variety of fund valuation activities in coordination with the Operations – Transaction Services team. The overall objective of this role is to assist in the calculation of daily and periodic Net Asset Valuations (NAVs) for funds and the distribution of associated unit prices.
Qualifications:
VP Portfolio Accounting
Job Description
The Fund Accounting Senior Manager is a senior management level position responsible for accomplishing results through the management of a team or department, driving a variety of fund valuation activities in coordination with the Operations – Transaction Services team. The overall objective of this role is to ensure the seamless delivery of activities associated with Net Asset Valuations (NAVs).
Qualifications
AVP-Portfolio Accounting
Job Description
The Fund Accounting Manager is an intermediate management level position responsible for providing full leadership and direction to a team of employees, leading a variety of fund valuation activities in coordination with the Operations – Transaction Services team. The overall objective of this role is to ensure the seamless delivery of activities associated with Net Asset Valuations (NAVs).
Qualifications
AVP Fund Accounting
Job Description
The Fund Accounting Manager is an intermediate management level position responsible for providing full leadership and direction to a team of employees, leading a variety of fund valuation activities in coordination with the Operations – Transaction Services team. The overall objective of this role is to ensure the seamless delivery of activities associated with Net Asset Valuations (NAVs).
Qualifications
For more details Click here.