Responsibilities:
· Responsible for timely and accurate preparation of various Regulatory reports
· Lead the production and review of Global shareholder regulatory reports
· Perform and review of disclosures, data inputs, reconciliation, assumptions, and outputs
·Drive project work streams to enhance processes and reporting
·Serve as a subject matter expert on Global share holder reporting.
· Prepare, review and maintain detailed, organized, and clearly documented workpapers
· Maintain department’s policy and procedure documents, controls and self-assessments
· Stay abreast of regulatory and reporting updates, review and interpret guidance, and apply changes as needed
· Participate in new product on-boarding
· Participate in UAT for automation initiatives
· Liaison with Regulatory Governance Team in ensuring compliance with all established governance policies
· Lead/participate in all internal and external audits
· Work cross-geographically to share knowledge to ensure consistent and accurate reporting
Qualifications
· CA / CPA with 10-12 years of relevant experience
· Strong accounting background;
· Prior experience with Big 4 accounting firms, or Banks (in Audit, Legal Entity Controller or Regulatory Reporting) is a plus
· Strong written and oral communication skills
· Ability to manage multiple responsibilities and deadlines
· Promotes teamwork, works collaboratively, and builds effective working relationships
· Strong analytical and problem solving skills
· Completes own role independently or with minimal supervision/guidance
· Provides guidance and mentoring to junior team members
· Highly proficient in Microsoft Office products and able to learn other systems quickly, Axiom and Essbase familiarity a plus