It’s an exciting time for you to join us. We’re a changing company with big ambitions and together we’ll create the future of banking.
Working with us, you will play a part in building a better bank that fulfils a meaningful role in society. We aim to help our customers around the world improve their lives and reach their goals. To do that, we are embedding compliance across the organization to ensure people can trust Nordea. Interested in coming on the journey with us?
The offer
We are looking for a Senior Capital & Risk Analyst within Group Finance & Treasury. As a Senior Capital & Risk Analyst in the Regulatory Reporting team you will be responsible for monthly reporting, continuous improvement projects and will be part of the development of new solutions for upcoming regulations and reporting updates.
You’ll join Regulatory Reporting where we are responsible of the capital, liquidity and tax reporting to our management team, the public and financial supervisors.
Regulatory Reporting is a unit in Group Function Information & Reporting in Nordea providing regulatory reporting services to various Group Functions, as well as risk analysis and material for interim and annual reports.
Nordea recently replace our headquarters to Helsinki, Finland, and thus the main regulator is now European Central Bank.
What you'll be doing:
Regulatory reporting to FSA's, Board of Directors and other stakeholders monthly
Provide value-adding solutions/deliveries to internal and external stakeholders to support business decision making and efficient use of capital
Analyzing the development of risk exposure amounts including credit quality changes, regulatory changes and changes in portfolio composition
Leading and participating in different types of development projects that aim to enable new reporting solutions and making current solutions even better
The role is based in Stockholm. Welcome to a team that operates cross Nordea Group through teams based in Stockholm, Helsinki, Copenhagen & Lodz.
Who are you
Collaboration. Ownership. Passion. Courage. These are the four key values that guide us in being at our best. We imagine that you enjoy learning and are excited about bringing your ideas to the table. You’re dependable, willing to speak up – even when it’s difficult – and committed to empowering others.
You are a high performing team player who embrace change and have a continuous improvement focus. Having the ability to be flexible at times of high activity in reporting is something we appreciate highly. You take responsibility for contributing to the development of a good team-spirit.
Your profile and background:
Finance, Accounting or Engineering degree (Master's) or relevant
5-10 years’ work experience
Excellent Excel and MS office skills
Analytical skills and an interest in learning more about capital, liquidity and risk related topics
Fluency in English, both spoken and written
Experience from the banking industry and knowledge of SQL, SAS, Business Intelligence solutions or equivalent is an advantage