Marketing & Content Cross-disciplinary Controls Lead Analyst Vice President in Belfast

Marketing & Content Cross-disciplinary Controls Lead Analyst Vice President in Belfast

Belfast Full-Time 80000 - 100000 £ / year (est.) No working from home possible
Citibank (Switzerland) AG

At a Glance

  • Tasks: Lead cross-disciplinary controls to enhance risk management and compliance across the organisation.
  • Company: Join Citi, a global leader in financial services with a commitment to innovation.
  • Benefits: Enjoy competitive pay, comprehensive benefits, and opportunities for professional growth.
  • Other info: Collaborative culture with a focus on accountability and ethical standards.
  • Why this job: Make a real impact by improving processes and driving compliance in a dynamic environment.
  • Qualifications: 6-10 years in operational risk management or compliance; strong analytical and communication skills.

The predicted salary is between 80000 - 100000 £ per year.

Individuals in Cross Disciplinary Controls are responsible for multiple activities within the Controls capabilities such as assessment & design, MCA, QA, Monitoring & Testing, Issue Management and/or Governance Reporting & Analysis for effective end to end oversight, design, implementation, and execution of controls. Individuals in this role may cover a broad range of in-business/function risk and control responsibilities rather than focusing on one specific role.

Responsibilities:
  • Support the assessment of the effectiveness of existing controls, identifying areas for improvement, and implementing necessary changes.
  • Help drive and manage controls enhancements focused on increasing efficiency and reducing risk.
  • Assist in the execution of the Enterprise Risk Management Framework and adherence with Risk Management and Compliance Policies.
  • Help support the oversight of the MCA program, including the annual/semi-annual/quarterly/monthly attestations, quality oversight, and related reporting.
  • Assist in the execution of the MCA in accordance with the ORM Policy & Framework, as well as applicable Policies, Standards, and Procedures.
  • Help assess activities and processes as per required Policies, Standards and Procedures to strengthen risk management quality.
  • Collaborate with key stakeholders to develop comprehensive corrective action plans to address identified control gaps or failures.
  • Support execution of the Issue Management Lifecycle ensuring compliance with Issue Management Policy, Standards and Procedures.
  • Support development of standardized risk and controls reporting to ensure sound, reliable, and consistent information exists across the organization, enabling better management and decision-making in line with the expectations of senior management, Board, and Regulators.
  • Support the preparation of materials for the Business Controls Forum and Citi's governance committees, and any follow-up on action items.
  • Appropriately assess risk when business decisions are made, demonstrating particular consideration for the firm's reputation and safeguarding Citigroup, its clients and assets, by driving compliance with applicable laws, rules and regulations, adhering to Policy, applying sound ethical judgment regarding personal behavior, conduct and business practices, and escalating, managing and reporting control issues with transparency, as well as effectively supervise the activity of teams and create accountability with those who fail to maintain these standards.
Recommended Qualifications:
  • Minimum of 6-10 years of experience in operational risk management, compliance, audit, or other control-related functions in the financial services industry.
  • Ability to identify, measure, and manage key risks and controls.
  • Strong knowledge in the development and execution for controls.
  • Proven experience in control related functions in the financial industry.
  • Proven experience in implementing sustainable solutions and improving processes.
  • Understanding of compliance laws, rules, regulations, and best practices.
  • Understanding of Citi's Policies, Standards, and Procedures.
  • Strong analytical skills to evaluate complex risk and control activities and processes.
  • Strong verbal and written communication skills, with a demonstrated ability to engage at the senior management level.
  • Strong problem-solving and decision-making skills.
  • Ability to manage multiple tasks and priorities.
  • Proficiency in Microsoft Office suite, particularly Excel, PowerPoint, and Word.
Education: Bachelor's/University degree, Master's degree preferred.

Marketing & Content Cross-disciplinary Controls Lead Analyst Vice President in Belfast employer: Citibank (Switzerland) AG

Citi is an exceptional employer that fosters a dynamic work culture focused on collaboration and innovation, particularly in the vibrant financial hub of [Location]. Employees benefit from comprehensive professional development opportunities, competitive compensation packages, and a commitment to diversity and inclusion, making it an ideal place for those seeking meaningful careers in risk management and compliance. With a strong emphasis on ethical practices and employee well-being, Citi empowers its workforce to drive impactful change while ensuring a supportive environment for personal and professional growth.

Citibank (Switzerland) AG

Contact Details:

Citibank (Switzerland) AG Recruitment Team

StudySmarter Expert Advice🤫

We think this is how you could land Marketing & Content Cross-disciplinary Controls Lead Analyst Vice President in Belfast

Join Compliance Communities

Get involved in compliance and risk communities — both online and offline. Look for forums, LinkedIn groups, or even local meetups where compliance pros hang out. You never know who might drop a job opportunity your way!

Attend Industry Conferences

Keep an eye out for compliance and risk management conferences and workshops in your area. These events are a goldmine for networking, and they often have job boards or recruiters on-site looking for new talent. Plus, it’s a chance to learn what's trending in the field.

Leverage Your University Career Services

If you’ve recently graduated or are still studying, head over to your university's career services. Many companies, including those in compliance, actively recruit fresh talent through these services, so make sure you tap into that resource.

Showcase Your Knowledge Online

Start writing articles or blog posts about compliance topics that interest you. Share them on platforms like LinkedIn to demonstrate your knowledge and passion. This not only builds your presence in the field but can also catch the attention of companies like Citibank (Switzerland) AG looking for candidates who are engaged and informed.

We think you need these skills to ace Marketing & Content Cross-disciplinary Controls Lead Analyst Vice President in Belfast

Operational Risk Management
Compliance
Audit
Control-related Functions
Risk Assessment
Controls Development and Execution
Process Improvement

Some tips for your application 🫡

Show Your Understanding of Compliance:In the compliance-risk field, it's super important to showcase your understanding of regulations and risk management frameworks. Highlight any relevant coursework, certifications (like ICA or AML), or even projects that demonstrate your knowledge and commitment to this area. We want to see how you can navigate this complex landscape!

Quantify Your Achievements:When detailing your experience, try to quantify your achievements. For example, if you've previously worked on a project that improved compliance metrics or reduced risk exposure, give us the numbers! This data-driven approach really stands out to hiring managers in compliance-risk roles.

Tailor Your CV to Reflect Relevant Skills:Make sure your CV highlights skills that are particularly relevant to compliance, like attention to detail, analytical thinking, and report writing. Ensure these are easy to spot – consider using bullet points to break down your responsibilities and achievements for maximum impact!

Craft a Motivating Cover Letter:In your cover letter, let us know why you’re excited about the compliance-risk role at Citibank (Switzerland) AG. Share what motivates you about compliance, and how you believe you can contribute to our mission. This is your chance to showcase not only your skills but also your passion for this important field!

How to prepare for a job interview at Citibank (Switzerland) AG

Master the Regulations

Brush up on key compliance regulations relevant to the industry you're applying to. Familiarising yourself with specific laws and frameworks used in your field will give you an edge during technical questions. Show that you’re not just aware of them but can also apply them—think real-life scenarios!

Show Your Analytical Skills

Compliance roles really focus on analytical skills, so be prepared for case studies or situational questions during the interview. We've got to demonstrate how we approach risk assessments or compliance audits, possibly drawing on examples from past experiences or university projects. Bring some thoughtful case scenarios to discuss!

Know Your Tools

Get comfortable with commonly used compliance software and tools. Familiarity with platforms like RSA or MetricStream can really impress during your interview, as it shows you're ready to hit the ground running. If you’ve had any experience with them, make sure to highlight that!

Align with Company Culture

Since it's a full-time position, show your long-term commitment and interest in the company’s mission and values. Dive into how your ethics and professional philosophy align with Citibank (Switzerland) AG’s stance on compliance. A shared vision can really resonate with interviewers looking for fit as much as skill!