Brief Description Of The Organization
CBNA is the primary legal entity for Citi, providing products and services to consumers, financial institutions and corporate clients around the world. In the past, Citi has provided most of its internal reporting on a business by business basis. With the changes in the regulatory environment, strong legal entity reporting and governance has become essential. This team is responsible for ensuring that CBNA has the appropriate governance and control infrastructure to meet the demand for legal entity planning, execution, information management and the ever-evolving regulatory environment.
Citi Private Bank (CPB) currently operates one of the world’s few truly global private banks with staff located in 49 offices across 16 countries and serving clients globally. CPB’s business focuses on Ultra High Net Worth (UHNW) individuals and families ($25MM+ in net worth), including entrepreneurs and business owners, single- and multi-family offices, senior corporate executives and next-generation / inherited wealth. The core products and services we offer them spans capital markets, managed investments, portfolio management, trust and estate planning, credit (investment finance), mortgages and banking – as well as art, aircraft and sports advisory (and associated financing opportunities)
Description Of The Position
The Indian sub-continent diaspora is one of the most global client segments around the world and is well aligned with Citi’s and CPB’s platform and Global India value proposition. We are looking for a senior UHNW Banker to cover the South Asian diaspora in the NY Metro region of the United States and also partner with colleagues in Europe, Middle East and Asia to deliver the best of Citi and Private Bank to this client segment.
The UHNW Private Banker will focus on targeted business development, showcase CPB’s value proposition, develop and deepen client relationships in order to thoroughly understand the client situation and utilize that knowledge to develop tailored wealth management strategies. The UHNW Private Banker must be able to add value to clients by building and drawing upon a network of internal resources, often global, to achieve desired results. Successful Banker will be able to develop and adapt a disciplined sales process to convert a pipeline of prospects into target market clients. In addition, he or she must be able to deliver quality Private Bank client relationships (solutions and services) in an intensely competitive fragmented market, taking fullest advantage of the Citi franchise while protecting the Bank and client/firm by complying with relevant policies, procedures, and country legal/regulatory requirements.
Job Requirements
New Client and Business Development:
Grow client net revenue in core product areas: investment management, capital markets, and banking & lending
Create sales and marketing strategies designed to generate revenue growth and to acquire new target clients within different sectors
Prospecting – generate leads and develop prospects, network to identify referrals to new clients/prospects
Profile, qualify, and convert prospects into CPB clients.
Identify and execute on new business opportunities with existing clients
Orchestrate appropriate specialist resources to develop tailored, long-term solutions for clients/prospects
Present and communicate to clients/prospects complex financial concepts and investment strategies in a way that is easily understood
Relationship Management
Serve as the client’s advocate and trusted advisor (primary contact) for strategic advice on financial matters
Create, organize, and implement a wealth management strategy designed to deepen relationships with existing clients
Manage client expectations regarding what can and cannot be executed on their behalf
Ensure financial strategies are kept current and appropriately aligned with client objectives
Understand and communicate the risk involved with financial and investment strategies
Ensure all client inquiries and problems are handled effectively and resolved
Help team members to acquire experience and establish credibility with clients
Compliance Oversight And Controls
Comply with all regulatory policies and control procedures regarding client transactions and suitability
Oversee and ensure compliance with the following processes: Investment Objective Setting (IOS), Client Risk Profile (CRF), and Periodic Client Reviews
Oversee and ensure clients are on-boarded appropriately including all required documentation is complete and accurate
Qualifications
Licensing: FINRA Series 7, 63 and 66 or 65 BA level degree; Minimum of five years of financial service experience
Client facing experience, preferably in the financial services industry. Strong knowledge of investments, banking and credit products
Strong knowledge of financial industry and current market conditions
Strong verbal and written communication skills with the ability to escalate issues to management. Excellent interpersonal skills, problem solving, team work and analytical skills
Ability to establish relationships and partner effectively with various groups including sales, service, operations, compliance, and marketing
Ability to think logically and critically about client needs and generate creative solutions when required
Must be a self-starter with the ability to set high standards of meeting deliverables
Highly developed attention to detail including follow up and follow through with tasks/requests
Ability to multitask in a high pressure environment and work under tight deadlines
Proven ability to learn on the job and comfortable working in an environment where the policies and procedures change regularly
Ability to understand, utilize and learn computer and web based applications
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