- Citigroup (New York, NY)
- …share repurchase program. This role will be situated in New York City. **Job Purpose:** The CTI Capital Markets ( CTI CM) group is responsible for raising ... Citigroup, CBNA and other affiliates. In addition to these funding activities, CTI CM is also responsible...and issuance Prepare presentations and transaction summaries related to funding and capital markets for… more
- Citigroup (Charlotte, NC)
- …planning as well as managing rating agency relationships. + Involved in capital markets activities including commercial paper and securitization; liquidity, ... as manage the Firm's funding and share repurchase programs. The Treasury Funding and Investments Intermediate Analyst will support CTI and drive the… more
- Citigroup (Getzville, NY)
- **Overview:** The Citi Treasury Investments ( CTI ) organization is responsible of managing the firm's balance sheet exposure and needs. CTI achieves these ... objectives through managing several different portfolios, consisting of raising capital and liquidity through the issuance of debt, Intercompany funding via… more
- Citigroup (Getzville, NY)
- **Overview:** The Citi Treasury Investments ( CTI ) organization is responsible of managing the firm's balance sheet exposure and needs. CTI achieves these ... objectives through managing several different portfolios, consisting of raising capital and liquidity through the issuance of debt, Intercompany funding via… more
- Citigroup (Getzville, NY)
- The Citi Treasury Investments ( CTI ) organization is responsible of managing the firm's balance sheet exposure and needs. CTI achieves these objectives through ... managing several different portfolios, consisting of raising capital and liquidity through the issuance of debt,... and liquidity through the issuance of debt, Intercompany funding via borrows & placements, the purchase of AFS/HTM… more
- Citigroup (Getzville, NY)
- **Overview:** The Citi Treasury Investments ( CTI ) organization is responsible of managing the firm's balance sheet exposure and needs. CTI achieves these ... objectives through managing several different portfolios, consisting of raising capital and liquidity through the issuance of debt, Intercompany funding via… more
- Citigroup (Charlotte, NC)
- …plan and drivers of variances + Prepare presentations and transaction summaries related to funding and capital markets for Senior Management (CEO, CFO, ... Citi Treasury Investments ( CTI ) operates within Corporate Treasury to lead the...Responsibilities:** + Assist in the strategic design of the capital , funding and liquidity plan + Coordinate… more
- Citigroup (New York, NY)
- …risk for Citi's accrual business (ie ex trading) to achieve Citi's desired rate position. CTI is also responsible for third party funding , such as the issuance ... liability management exercises (exchange offers, defeasance, etc.) for all capital securities issued through Citigroup Inc. and CBNA. The...through Citigroup Inc. and CBNA. The FX & International Markets (FXIM) team within CTI is responsible… more
- Citigroup (New York, NY)
- …owning different pieces of the Reinvestment and Funding and Liquidity activities ( CTI , CBNA and Intl Treasury, GLM, Capital , IRRBB, Markets Business ... of the group in forecasting exercises goes from coordination of guidance ( capital , liquidity, duration) to production of the forecasts and review & challenge… more