Description
The Credit Portfolio Analyst II is an intermediate-level risk-management role responsible for credit reviews, credit approvals, portfolio monitoring, risk assessments, financial and credit analysis, cash-flow and sensitivity modeling, stress testing, collateral and liquidity risk assessment, and compliance with risk appetite and regulatory requirements. The role supports Citigroup’s global portfolio exposure and requires 0–2 years of credit risk analysis or corporate banking experience, along with financial analysis, accounting, valuation, risk-management software, and data-analysis skills.
