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Reporting Specialist - Capital / Regulatory

On behalf of our Partner - who is a global player in the financial area - we are actively recruiting for a Capital / Regulatory Analyst position to their local Reporting Department. The position will cover the Company European entities. The individual will directly communicate with the HQ based inLondon.

 Capital / Regulatory Analyst


  • To source and produce accurate data sets required for the production of both the Capital & Regulatory Reporting in respect of the quality standards and timeline agreed
  • Liaise with the data users (i.e. requestors) either from External Reporting team or other departments (e.g. Capital Modelling) to identify the data needs for the purpose of the production of both Capital & Regulatory reporting including (non-Exhaustive list):
  • Standard Formula & Economic Balance Sheet
  • Solvency II pillar III
  • GCAR annual return, PRA Return, NAIC returns
  • Source the data needed and interface with the in-scope countries (e.g.Europe) and technical teams where required
  • Review, reconcile and manipulate source data to match expectations and reach internal sign-off before transferring data set for further processing e.g. ensuring ‘Finance’ data provision is accurate and complete prior to its inclusion within the Solvency II Standard Formula and Internal Modelling
  • Support the preparation of the submissions where required with analysis and comments
  • Support process design improvements within the data management process, including the creation and update of procedural documents
  • Execute any Ad Hoc activity required to support the External Reporting team 

Key Experience:

  • Experience working in a financial services firm, preferably insurance
  • Fluent English and preferably other local language
  • Experience of delivering diverse financial information requirements in a complex organisation
  • Operational experience with U.S. GAAP, and IFRS
  • Business degree preferred
  • Prior work experience in a multinational organisation and matrix reporting structure
  • In depth understanding of the regulatory environment in the finance sector
  • Strong data manipulation skills (e.g. system extraction, Advanced excel functions, VBA Macro writing, etc.)
Munkavégzés helye Budapest
Kategória Pénzügy / Számvitel / Kontrolling, Bank / Biztosítás / Pénzintézet
Munkaidő tipusa Teljes munkaidő
Régió Budapest
Egyéb hasonló állások Önnek
Stratégiai és operatív igazgató

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