Cross Asset Regulatory Program Manager (Hybrid)

London, United Kingdom
18 Mar 2023
17 Apr 2023
Job Function
Industry Sector
Finance - General
Employment Type
Full Time
We are looking to bring in a Senior Program Manager individual within ICG Technology Cross Asset Regulatory Programs (CARP) Team. This role will oversee the Price Risk Program across Citi's Front Office Markets technology teams and manage the organization of the plan, capturing the work in flight, defining the new work, and identifying the interdependencies between the different asset groups, business, functional groups and different systems. In addition, this role will be responsible for providing transparency to senior Citi stakeholders and auditors from Technology. This role will be an influencer role, and much of the responsibility will be on communicating and ensuring that key stakeholder of Technology, Global Functions and their delivery partner as part of the overall program. This is a significant opportunity in ICG Tech CARP in partnership with Citi ICG O&T and Finance and Risk teams. To be successful in this role, you will need to have proven experience in either of Investment Banking or Capital Markets and track record of delivering cross asset FO Technology Risk or Finance programs.

As Cross Asset Regulatory Program Manager you will:
  • Support planning, directing and coordination of day-to-day activities of running a program or portfolio of programs
  • Assess creation and signoff of program plan and charter, benefits management plan, stakeholder management plan, acceptance plan and central program issue log
  • Oversee program plans to meet business needs as described in the program initiation documents
  • Ensure all stakeholders are identified and included in scope definition activities and understand the program schedule and key milestones
  • Create the program risk management plan, work with procurement team to create, administer, track, and eventually close program contracts
  • Work with Program Sponsor to ensure business case/cost benefit analysis is in line with business objectives
  • Be responsible for delivery of end results and will have shared responsibility for budget management
Ideal background:
  • Fluent English knowledge
  • Bachelor's/University degree or equivalent experience, potentially Master's Degree
  • 10+ years of Program and Project Management experience
  • At least 7-8 years of experience in the financial industry, preferably for a bank / broker-dealer
  • Has managed complex risk projects for a major investment bank
  • Solid grounding in market risk (any asset class), preferably including around OTC derivatives
  • Experience of delivering on projects in geographically diverse, multi-team environments
  • Comfortable working with programs that straddle multiple Agile development teams (preferably skilled in scaling Agile to complex programs)
  • Ability to demonstrate a commitment to quality and attention to detail
  • Excellent interpersonal relationships with ability to influence and negotiate with stakeholders
  • Critical thinking and problem solving skills
Job Family Group:
Project and Program Management -------------------------------------------------
Job Family:
Program Management ------------------------------------------------------
Time Type:
Full time ------------------------------------------------------
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