Job Overview.

Experience: 3-5 YearsSector: Regulatory Reporting

We are partnering with a global financial institution which has a sizable and successful operation in Dublin which is in growth mode. In Dublin, the group offers a range of capital markets products and services to corporates, government and institutional clients. Due to the growth of the business, we are assisting our client to hire a Senior Analyst whose role will straddle both the Investments and Global Finance business.

Responsibilities:
In Investments, the Senior Analyst position supports the Manager in all aspects of the operations of the company, establishing a strong culture of risk management and governance. Together with the Manager, this person is responsible for building and maintaining a strong internal financial control environment as well as ensuring that reporting to management, internal groups and the Board is complete and accurate and submitted on a timely basis. This role will take ownership of a range of policy and procedures documentation.

The Senior Analyst will also be a member of the Regulatory Reporting Team within the wider Global Finance Dept.  The Regulatory Reporting team of four are responsible for delivering daily monitoring of key liquidity and capital metrics plus monthly and quarterly reporting to the Central Bank of Ireland covering Capital Solvency, Liquidity, Leverage, Large Exposures and Asset Encumbrance.
This position involves working closely with teams in Canada, US, UK and Irish based internal teams supporting Finance, Legal and Risk. This role is responsible for identifying any changes to local requirements or regulations that could impact the operating environment of the companies.

Your background:  

  • Qualified Accountant/ seeking qualification (or CFA/ Tax/ Treasury qualifications)
  • Strong communication skills, able to effectively transpose the message and adjust the level of details based on the audience
  • Analytical skills – ability to work with complex data and formulae
  • Strong planning and organizational skills
  • Eye for detail while keeping the big picture in mind
  • Proficient in the use of Finance based applications and systems
  • Proficient in the use of Excel, Word, Access, Power point
  • CRR (Regulatory) experience knowledge a plus
  • Liquidity/ Capital / CBI reporting experience a plus

  
In return, you will be given the opportunity to work in an exciting and busy environment where you can grow and be challenged. Hybrid working and competitive remuneration is on offer to the lucky person that gets this job!
 

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