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Regulatory Reporting Sr. Analyst - AVP

Job in New York, New York County, New York, 10261, USA
Listing for: Citi
Full Time position
Listed on 2026-06-21
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Financial Compliance, Regulatory Compliance Specialist
Salary/Wage Range or Industry Benchmark: 100000 - 125000 USD Yearly USD 100000.00 125000.00 YEAR
Job Description & How to Apply Below
Location: New York

Regulatory Reporting Sr. Analyst - AVP Job Req :

Location(s):

Mumbai, Maharashtra, India

Job Type:

Hybrid

Posted:

May. 07, 2026

Job Overview

Team/Function Overview:

The Regulatory Reporting group is a centralized unit within ICG O&T that is responsible for the implementation and oversight of regulatory reporting, including exception management, Controls and risk mitigation for EMIR reporting. The group is responsible for:

  • Implementation of new regulatory reporting initiatives and enhancements
  • Control and exception management on EMIR reports
  • Industry level advocacy across multiple trade associations
  • Partnering across Markets to remediate regulatory issues
  • Timely investigation and remediation of trade rejections and internal exceptions
  • Root cause analysis of rejections and exceptions and advising on remedial solutions
  • Monitor daily controls such as Pairing & Matching breaks, Errors and Omissions, Reconciliations, etc.

Role /

Position Overview:

  • Oversee and ensure the day-to-day delivery of complete, accurate and timely reporting as defined by regulation and industry practice
  • Manage and oversee BAU processes for EMIR Reporting, ensuring all reporting is completed accurately and on time. Controls / Reconciliation experience for BAU operations will be highly valued in this aspect.
  • Monitor daily reporting controls – Pairing & Matching, Reconciliations, Errors & Omissions; identify and provide transparency into reporting issues whilst working with key stakeholders across the business and technology to remediate any gaps.
  • Responsible for resolving regulatory reporting exceptions and rejections daily across EMIR and conducting root cause analysis
  • Act as point of contact for EMIR Reporting.
  • Ensure procedures and controls adhere to Citi’s Global Risk & Control as well as Global Regulatory Reporting policies
  • Conduct data analysis on large data sets to identify root causes of complex issues
  • Work closely with colleagues from Operations & Technology, Compliance, Legal, Risk & Control and business unit managers to ensure transparent and aligned objectives
  • Support in addressing questions arising from regulators, compliance assurance and internal audit
  • Work with the global team leads and reporting teams in the development and execution of a global book of work delivering new regulatory requirements, higher productivity, stronger controls and insightful metrics related to various regulatory regimes including EMIR / MIFID / CFTC Reporting and NFRR (Non-Financial Regulatory Reporting), and OTC & Exchange Traded Derivatives.
  • Drive change process by advocating for process improvements of existing processes to reduce manual touch points and increase efficacy and accuracy
  • Responsible for generating MIS, to ensure appropriate levels of transparency are provided to the wider REGOPS group & relevant stakeholders.

Candidate Requirements

  • Previous experience within Regulatory Reporting, such as: EMIR/CFTC/MIFID, highly desirable.
  • 6+ years of previous financial services experience, within regulatory reporting / capital markets middle office / OTC derivative products, trade lifecycle
  • Demonstrated experience in the successful implementation of projects, operational process change and improvement, preferably within capital markets operations
  • Exposure to SQL/VBA (advanced Excel) is an advantage
  • Experience in collecting, defining and documenting business and technology requirements, test plans and other project management artefacts
  • Experienced in consulting with project stakeholders, including the skills to facilitate compromises and resolve conflicting requirements. (Strong Project Management / Stakeholder Management skills)
  • Ability to identify and communicate risk issues, concepts, and mitigations/solutions effectively.
  • Ability to engage with multiple stakeholders demonstrating strong verbal and written communication skills.
  • Proven problem-solving and decision-making skills, capable of managing and resolving conflict with clients
  • Self-motivated, detail oriented well organized with strong verbal and written communication skills
  • Working knowledge of related industry practices and standards, and experience in large scale implementations
  • Experience in working across…
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