Analyst / Senior Analyst to Regulatory Reporting, Copenhagen
Are you our next team member? We are looking for an analyst with technical skills to improve and implement regulatory requirements in a newly established team managing regulatory reporting within Nordea Asset Management.
The regulatory environment is constantly changing and we need to be on top of the regulations, as well as the implications it will have on Nordea Asset Management’s daily business. The Regulatory Reporting team is responsible for maintaining, implementing, optimizing processes as well as facilitating continuous improvements in all aspects linked to reporting. Our aim is to provide simple solutions well incorporated in our value chain.
Your main role will be to support and develop our daily reporting for funds, such as AIF and UCITS reporting, but also support our EMIR and MiFID reporting along with the ‘shareholder disclosure’ track. You should play an important role when it comes to implementing and optimizing new and old solutions and controls. In this role you will handle a large number of stakeholders; both internally in Nordea Asset Management and vendors & outsourcing partners outside Nordea Asset Management.
You are also expected to play an important role when it comes to analyzing future regulatory requirements and building scalable and efficient solutions. You will be given the time to read and understand the regulatory requirements which bring you to the front seat of the world of tomorrow, while implementing it in a well-established value chain.
In other words, we offer a great opportunity to work in a dynamic and constantly changing business environment - not two days are the same.
Who are you
The Ideal candidate possess the technical skills to improve our deliveries regarding regulatory reporting and continuously strive to be not only compliant but to be best in class, hence we would expect you to show passion in your everyday work.
The team are to run without errors so it is expected that you are self-driven, set a pride in you work, focus on meeting deadlines and are proactive with a quality-conscious approach. You work structured and result-oriented, both in teams and individually and you focus on creating great solutions that help us to be a leading European Asset Manager.
You might have a few years of experience from the financial industry, preferably within Asset Management and a master degree in a relevant field.
Please note that it will be an advantages to have one or more fulfilled to some degree:
- SimCorp Dimension experience
- Skills within SQL, Excel and PowerPoint
- Strong drive and is project and development oriented
- Interest in financial regulation
- Excellent communication skills and are fluent in English.
You have until 1st June 2018 to send us your application.
For more information about the position, you are welcome to contact Nichlas Jacobsen on +45 2627 4251 or e -mail: email@example.com
We believe that diversity improves team performance. Therefore, we strive to form teams with a mix of people of different genders and ages, and with different backgrounds and experiences.