Posted May 4, 2026
As a member of the daily reporting team in the European consolidation group and its regulated subsidiaries, your role will involve running processes and projects to support internal Regulatory Reporting. You will collaborate with colleagues across Mumbai, London, Frankfurt, and Paris. Your responsibilities will include:
Production of key capital adequacy metrics in compliance with Basel III rules
Calculation of standardized approaches for counterparty credit risk, market risk, settlement risk, and capital deductions
Handling business/management queries and requests
Conducting Large Exposure calculations following CRDIV and Basel III norms
Analyzing Risk-Weighted Assets (RWA) to track movements and identify optimization opportunities
Developing daily Management Information (MI) using modern BI tools like Alteryx, Power BI, and Tableau
Collaborating with Risk management to validate Risk inputs
Engaging with various teams such as IT, Operations, LE Controllers, and Legal
Defining business requirements for IT implementation in new projects or process enhancements This role will offer you a diverse set of responsibilities encompassing technical, process, and interpersonal skill sets. It presents an excellent opportunity to enhance your knowledge of regulatory financial and capital reporting, gaining deep insights into the financial positions of EMEA entities. In terms of qualifications and skills, we are looking for candidates with:
Exposure to the financial services industry and a good understanding of Financial reporting functions, including IFRS and US GAAP
Knowledge of Capital Markets
Strong communication skills with the ability to convey ideas clearly and concisely
Capacity to work effectively under tight deadlines and deliver accurate reports within agreed timelines
Proficiency in issue resolution, ensuring stakeholders are kept informed
Previous experience in Financial reporting or Capital reporting within Investment Banking is preferred
Understanding of financial products
Self-motivated, problem-solving mindset with the ability to work independently From a technical standpoint, you should possess:
Advanced Excel and PowerPoint skills, with the ability to learn Finance-specific systems
Curiosity and a propensity to challenge conventional practices
Familiarity with tools such as Tableau, Power BI, Alteryx, Excel VBA macros, and SQL, and willingness to learn similar new IT tools independently Qualifications we seek include CA, CFA, MBA (Finance), with FRM considered a plus. Education requirements are:
UG: Any Graduate
PG: CA in CA, MBA/PGDM in Marketing We are offering a challenging role that will enrich your expertise and provide valuable insights into the regulatory financial landscape. As a member of the daily reporting team in the European consolidation group and its regulated subsidiaries, your role will involve running processes and projects to support internal Regulatory Reporting. You will collaborate with colleagues across Mumbai, London, Frankfurt, and Paris. Your responsibilities will include:
Production of key capital adequacy metrics in compliance with Basel III rules
Calculation of standardized approaches for counterparty credit risk, market risk, settlement risk, and capital deductions
Handling business/management queries and requests
Conducting Large Exposure calculations following CRDIV and Basel III norms
Analyzing Risk-Weighted Assets (RWA) to track movements and identify optimization opportunities
Developing daily Management Information (MI) using modern BI tools like Alteryx, Power BI, and Tableau
Collaborating with Risk management to validate Risk inputs
Engaging with various teams such as IT, Operations, LE Controllers, and Legal
Defining business requirements for IT implementation in new projects or process enhancements This role will offer you a diverse set of responsibilities encompassing technical, process, and interpersonal skill sets. It presents an excellent opportunity to enhance your knowledge of regulatory financial and capital reporting, gaining deep insights into the financial positions of EMEA entities. In terms of qualifications and skills, we are looking for candidates with:
Exposure to the financial services industry and a good understanding of Financial reporting functions, including IFRS and US GAAP
Knowledge of Capital Markets
Strong communication skills with the ability to convey ideas clearly and concisely
Capacity to work effectively under tight deadlines and deliver accurate reports within agreed timelines
Proficiency in issue resolution, ensuring stakeholders are kept informed
Previous experience in Financial reporting or Capital reporting within Investment Banking is preferred
Understanding of financial products
Self-motivated, problem-solving mindset with the ability to work independently From a technical standpoint, you should possess:
Advanced Excel and PowerPoin
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