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People join for the impact they can have on us. They stay for the impact we have on them. A flatter structure offers visibility and exposure beyond that of our competitors, so you know our names, and we know yours. It's personable, human, and inspires success through passion. By encouraging open mindedness and a willingness to share ideas, we have adapted to market changes and thrived through innovation. Bringing words like "hard work" and "dedication" together with "community" and "respect" has enabled us to work collaboratively and build our future together. We call this Team Spirit and it's what makes us different. It's what makes you different.
Responsibilities Production of the Regulatory reports sent to the FCA (FSA047/48, FSA001/002, COREP, Asset Encumbrance)Provide Management and business partners with ad-hoc analysis and forecast;Preparation of adequate answers to any regulator, Group or Management requests;Deploying any new Group policy, methodology change, project, while ensuring their compliance with the UK FCA regulation;Manage data extraction and produce Risk Weighted Assets of SGIL on a daily basisEnsure data reliability from source systems extractions, and ensure reconciliation with UK General ledger and Risk systems;Improve data quality in liaison with other stakeholders (Legal, Risk, ....);Production of analysis for Management and Business Lines (by activity, clients, ....);Regulatory simulation of new products impacts for Business Lines;Monitoring and analysis of UK weighted assets forecasts and limits.Regulatory watch: assess the impacts of forthcoming regulatory and supervisory changes
Operational Risk & Regulatory Responsibility: Responsibility for ensuring that you are fully aware of and adhere to internal Policies that relate to you, your business or other businesses for which you have any level of responsibility. It is your responsibility to ensure compliance with operational risk requirements (e.g. Golden rules, security policies and regulatory requirements). Responsibility for managing, controlling, preparing and escalating risk within the scope of your position.Responsibility for reading, understanding and complying with the Company's Conduct and Standards and corresponding regulations. You will be notified of changes to policies in a timely manner through announcements and/or intranet updates. Act with integrity and due skill, care and diligence in carrying out your duties. Your actions should always be able to satisfy high standards of scrutiny.Observe proper standards of market conduct. Responsibility to ensure that you take reasonable steps to be fully aware of, understand and comply with all regulatory requirements from all regulatory bodies that are applicable to your business.
Level of Autonomy High
Competencies Skills Thorough knowledge of balance sheet modellingStrong accounting knowledgeAdvanced knowledge of GENPRU/BIPRUGood communication skills are required as well as a relationship facility in team worksThis function implies many contacts in an international environment on technical topics which require excellent verbal and written level in EnglishA high level of autonomy is expected, after a standard period of learning. Experience Over 5-8 years of experience with Regulatory environmentFermat ALM, Moody's Risk Authority or other Regulatory package experienceBachelor's Degree in Finance or EconomicsUniversity Degree in Accounting, Finance or related disciplines Required Registrations Needs to have good understanding of the regulatory framework in respective regionsNeeds to understand the regulations applicable to the performance of the roleNeeds to build a good working relationship with compliance and other control functions Role holder must have unquestioned fitness & propriety, integrity
Internal Number: 6090060
About SOCIETE GENERALE Corporate & Investment Banking
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