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This job expired on 27/09/2026. It no longer accepts applications.
Treasury & Liquidity Operations Group Manager
Citi · London
Job description
About the role
Citi is seeking a dynamic leader to head its Treasury & Liquidity Operations group within the COO Corporate Shared Services organization. This senior Managing Director role will oversee global Cash Management and Bank Network Management functions, driving strategic vision and operational excellence.
Key responsibilities
- Define and execute a forward‑looking strategy for integrated Treasury and Liquidity Operations, aligned with Citi’s broader objectives.
- Lead a global organization comprising Cash Management Operations and Bank Network Management teams, fostering a culture of innovation and continuous improvement.
- Design, socialize, and implement a unified Target Operating Model (TOM) that streamlines processes, platforms, and people.
- Identify and drive large‑scale operational enhancements to increase capital efficiency, improve client experience, reduce risk, and ensure scalability.
- Champion the integration of emerging technologies, especially Artificial Intelligence, to automate manual processes, enhance cash forecasting, optimize payment routing, and improve anomaly detection.
- Collaborate with Technology and other stakeholders to develop and deploy next‑generation tools and platforms.
Required profile
- Strategic thinker with a proven track record of leading large‑scale operational teams.
- Experience driving significant change and transformation across global organizations.
- Strong ability to manage complex stakeholder relationships at senior levels.
- Demonstrated leadership, mentorship, and career development capabilities.
Required skills
What we offer
- Opportunity to shape the future of Citi’s enterprise‑wide cash operations.
- Access to cutting‑edge technologies and AI‑driven initiatives.
- Leadership role within a global financial institution.
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Citi
London
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