Citi

Citi

Posted via Workday

Senior Risk Reporting Analyst, AVP, (Hybrid)

Posted Sep 28, 2026

Role at a glance

Job function
AI & Data Data Analytics
Salary
Not Disclosed
Location
Mumbai Maharashtra India
Work arrangement
Hybrid
Employment
Full-time
Experience
5 or more years of experience in finance or risk data analytics, with a track record of delivering reporting and visualization solutions...
Education
Bachelor's or master's degree in finance, business, economics, engineering, or a related analytical discipline.

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Role Summary

AI-generated

The Senior Risk Analytics Manager leads the delivery of risk reporting and data visualization solutions. The role translates risk exposures into insights for senior leadership and supports regulatory requirements.

What You'll Do

  • Design and deliver Tableau dashboards, scorecards, and reports for risk and business leaders.
  • Analyze risk exposures and communicate decision-ready narratives to senior management and committee forums.
  • Automate data flows and transformations across enterprise risk data sets using Tableau Prep Builder.
  • Collaborate with Risk, Finance, and Technology teams to build analytical applications for portfolio monitoring, decision-making, and...
  • Monitor data quality in risk reporting pipelines, establish governance controls, and implement corrective actions.
  • Lead cross-functional risk initiatives and advise senior stakeholders on risk metrics methodology, reporting practices, and data controls.

Generated from the employer's posting. Verify important details before applying.

View full posting

Qualifications

Required: 5 or more years in finance or risk data analytics; a bachelor's or master's degree in a related analytical discipline; hands-on Tableau Desktop and Tableau Prep Builder proficiency; advanced Excel, VBA, and MS Access capability; ability to analyze large data sets and present findings to senior audiences; strong communication skills; and knowledge of financial markets and risk management concepts.

Required

  • 5 or more years of experience in finance or risk data analytics, with a track record of delivering reporting and visualization solutions...
  • Bachelor's or master's degree in finance, business, economics, engineering, or a related analytical discipline.
  • Hands-on proficiency in Tableau Desktop and Tableau Prep Builder for end-to-end dashboard development and data transformation.
  • Advanced capability in Excel, VBA, and MS Access for data analysis, modelling, and automation of reporting processes.
  • Ability to analyse large and granular data sets, identify key trends, and present findings clearly to senior audiences.
  • Excellent written and verbal communication skills, including presenting risk metrics and insights to senior management and negotiating...
  • Solid knowledge of financial markets and risk management concepts, and ability to connect quantitative data to business context.

Preferred

  • Proficiency in Power BI or equivalent data visualization platforms as a complement to Tableau expertise.
  • Postgraduate qualification such as an MBA in Finance, CA, or a master's degree in engineering or computer science from a premier...
  • Familiarity with enterprise risk and finance reporting platforms used within large financial institutions, such as those covering...
  • Experience applying AI or advanced analytics techniques to enhance risk reporting or automate analytical workflows.

Original job description

Content provided by the employer

Citi's Data Analytics and Risk Technology (DART) team is seeking a Senior Risk Analytics Manager to lead the delivery of high-impact risk reporting and data visualization solutions across some of the largest portfolios in the financial industry. In this role, you will translate complex risk exposures into clear, actionable insights that inform senior leadership decisions and support regulatory requirements. You will work at the intersection of risk management, data engineering, and analytical application development — shaping how risk is measured, monitored, and communicated at a global scale.

 

Responsibilities

  • Design and deliver end-to-end Tableau dashboards, scorecards, and reports that give risk and business leaders a real-time view of portfolio performance and key risk metrics.
  • Analyse and communicate complex risk exposures to senior management and committee forums, translating granular data into clear, decision-ready narratives.
  • Automate data flows and underlying data transformation processes using Tableau Prep Builder, spanning enterprise risk data sets across multiple source systems.
  • Collaborate with Risk, Finance, and Technology teams to design and build analytical applications that support portfolio monitoring, strategic decision-making, and regulatory submissions.
  • Monitor data quality across risk reporting pipelines, establish governance controls, and implement corrective actions when issues are identified.
  • Lead cross-functional project workstreams for risk-wide initiatives, including platform implementations, automation improvements, and process control enhancements.
  • Act as subject matter expert to senior stakeholders, advising on risk metrics methodology, reporting best practice, and data controls.

 

Required qualifications & skills

  • 5 or more years of experience in finance or risk data analytics, with a track record of delivering reporting and visualization solutions in a complex institutional environment.
  • Bachelor's or master's degree in finance, business, economics, engineering, or a related analytical discipline.
  • Hands-on proficiency in Tableau Desktop and Tableau Prep Builder for end-to-end dashboard development and data transformation.
  • Advanced capability in Excel, VBA, and MS Access for data analysis, modelling, and automation of reporting processes.
  • Demonstrated ability to analyse large and granular data sets, identify key trends, and present findings clearly to senior audiences.
  • Excellent written and verbal communication skills, with the ability to present risk metrics and insights to senior management and negotiate across a broad range of stakeholders.
  • Solid knowledge of financial markets and risk management concepts, with the ability to connect quantitative data to real business context.

 

Beneficial skills & qualifications

  • Proficiency in Power BI or equivalent data visualization platforms as a complement to Tableau expertise.
  • Postgraduate qualification such as an MBA in Finance, CA, or a master's degree in engineering or computer science from a premier institution.
  • Familiarity with enterprise risk and finance reporting platforms used within large financial institutions, such as those covering regulatory capital, credit risk, or portfolio analytics.
  • Experience applying AI or advanced analytics techniques to enhance risk reporting or automate analytical workflows.

 

What we offer

 

Joining DART means working on problems that genuinely matter — where your analytical work directly informs how Citi manages risk across its largest global portfolios. You will build your career alongside experienced professionals from finance, engineering, economics, and data science, in a team where technical depth and business impact go hand in hand.

  • Hybrid working arrangement with 3 days in the office and 2 days working remotely, giving you flexibility alongside meaningful in-person collaboration.
  • Direct influence on risk governance and senior management decision-making, with visibility at committee level from early in the role.
  • Continuous development of your quantitative and analytical skills, working alongside specialists in risk modelling, data science, and financial analytics.
  • Clear pathway to senior risk management and leadership roles within one of the world's largest financial institutions.
  • Access to Citi's global network, with opportunities to collaborate across Risk, Finance, and Technology functions internationally.
  • A performance-driven environment where your contributions to data quality, automation, and reporting efficiency are recognized and rewarded.

 

Apply now to shape the way risk is understood and managed at one of the world's most influential financial institutions

 

#LI-VR2

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Job Family Group:

Risk Management

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Job Family:

Risk Reporting and Exposure Monitoring

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Time Type:

Full time

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Most Relevant Skills

Analytical Thinking, Credible Challenge, Governance, Management Reporting, Policy, Procedure, and Regulation, Risk Management Lifecycle.

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Other Relevant Skills

For complementary skills, please see above and/or contact the recruiter.

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Citi is an equal opportunity employer, and qualified candidates will receive consideration without regard to their race, color, religion, sex, sexual orientation, gender identity, national origin, disability, status as a protected veteran, or any other characteristic protected by law.

 

If you are a person with a disability and need a reasonable accommodation to use our search tools and/or apply for a career opportunity review Accessibility at Citi.

View Citi’s EEO Policy Statement and the Know Your Rights poster.

Citi

About the company

Citi

Large Enterprise

Citi is a global financial services corporation that offers a wide range of financial products and services, including consumer banking, credit, investment banking, and wealth management. With a presence in nearly 100 countries, Citi serves millions of customers, from individuals and small businesses to large corporations and governments. The company is dedicated to innovation and sustainability, actively working to support economic growth while addressing environmental and social challenges. Citi’s commitment to providing exceptional service and fostering diverse talent makes it a prominent choice for students aspiring to build a career in finance and banking.