Regulatory Engagement -Prudential Coverage & Governance Advisory Lead- Director
Job in
New York, New York County, New York, 10261, USA
Listed on 2026-07-31
Listing for:
Citibank (Switzerland) AG
Full Time
position Listed on 2026-07-31
Job specializations:
-
Management
Regulatory Compliance Specialist, Risk Manager/Analyst
Job Description & How to Apply Below
## Regulatory Engagement
-Prudential Coverage & Governance Advisory Lead
- Director Apply remote type:
Hybrid locations:
New York New York United Statestime type:
Full time posted on:
Posted Yesterday time left to apply:
End Date:
August 25, 2026 (29 days left to apply) job requisition :
The Enterprise Regulatory Engagement Team (“ERET”) is dedicated to cultivating strong relationships with regulatory agencies globally and providing oversight of engagement activities. This involves direct and proactive communication with agencies’ senior personnel and staff examiners concerning key supervisory initiatives, as well as promptly informing agencies of relevant matters. The team is responsible for managing all aspects of ongoing supervision and regulatory examinations, which includes coordinating internal stakeholders, preparing for regulatory visits, managing information requests, and facilitating constructive dialogue during the examination process.
ERET leverages subject matter expertise to establish and execute Citi’s regulatory strategy, providing ongoing advisory and communicating regulatory themes and emerging issues to Senior Management, the Executive Management Team, and the Board of Directors (“senior leadership”).The Prudential Coverage & Governance (“PCG”) Team strategically partners with senior leadership, offering expert regulatory insight, supervisory intelligence, and proactive guidance for regulatory engagement, alongside efficient and effective operational execution.
This team focuses on U.S. prudential regulators (e.g., OCC, FRB, FDIC), identifying and escalating thematic issues from firm-wide regulatory engagements. The PCG Advisory Lead manages a team of professionals, serving as the central point of expertise for interactions between Internal Audit (“IA”), Human Resources (“HR”), Transformation functions, and U.S. prudential regulators. This role ensures executive decisions and strategic communications are well-informed by the evolving regulatory landscape, supervisory priorities, and emerging risks.
** Key Responsibilities
*** Advise and brief HR, IA, and Transformation senior executives (EMT, EMT-1 and EMT
-2) on key regulatory themes, supervisory expectations, and exam outcomes.
* Interpret regulatory signals, supervisory feedback, and industry trends to identify emerging issues, systemic risks, and strategic implications.
* Develop and maintain the firm’s strategy for managing regulatory ratings, exam positioning, and issue escalation.
* Lead the critical review and challenge of regulatory submissions, correspondence, declarations, and formal responses.
* Manage executive positioning for upcoming regulatory reviews, including forward-looking exam preparation, advocacy opportunities, and supervisory relationship planning.
* Identify, develop, and escalate thematic issues arising from regulatory engagements across business units.
* Coordinate enterprise-wide material for senior-level regulatory updates, regulatory councils, and Board-level reporting.
* Provide strategic insight and oversight for regulatory interactions, ensuring alignment, readiness, and high-quality engagement.
* Oversee governance routines supporting regulatory strategy, including exam retrospectives, thematic analysis, and trend monitoring.
*
* Qualifications:
*** 10
-15 years of experience in regulatory management, supervisory engagement, risk, compliance, or a related area, including previous exposure to U.S. prudential regulators.
* Proven leadership experience managing teams and cross-functional initiatives.
* Demonstrated strategic thinking and ability to influence senior executives and stakeholders.
* Proven regulatory expertise with strong understanding of regulatory frameworks, supervisory expectations, and thematic risk identification.
* Strong analytical problem-solving skills, with the ability to interpret complex information and derive strategic insights.
* Excellent executive communication skills, including experience preparing senior briefings, regulatory correspondence, and Board-level materials.
* Strong judgment and decision-making capability in high-stakes regulatory matters.
* Ability to build and sustain…
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