The position is within the Finance unit of Citigroup's Corporate Treasury organization (Citi Treasury). The Treasury Finance team prepares financial plans and forecasts for Treasury's balance sheet and revenues, working in close partnership with other Treasury groups responsible for managing securities portfolios, long-term debt issuances, legal entity funding, and transfer pricing. The team provides analysis of Treasury's actual financial results and interest rate sensitivity. In addition, the group interacts extensively with the broader Finance organization as well as technology and infrastructure partners.
Valid through: 2020-4-8