Intern - Finance (Regulatory Reporting)
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Skills you'll use
What you'll do
- Support production of monthly and quarterly liquidity returns including NSFR, LCR, ALMM, and PRA110, with reconciliation to financials.
- Assist with balance sheet-driven regulatory returns including FINREP, PRA108, and Bank of England statistical returns (BT, ELS, GT, AD, AL, BE, CC, PL).
- Contribute to additional exposure-related returns including FSA015, PRA loan book data, asset encumbrance, and mortgage returns (MLAR).
- Support capital and RWA reporting including own funds, credit exposure returns, leverage ratio, and large exposures.
- Assist in the preparation of pre-defined and ad hoc management information as directed by the manager.
- Support production of treasury ALCO packs.
- Ensure accuracy, timeliness, and completeness of all reporting; highlight gaps or errors in processes or logic and actively contribute to improvements.
- Support the Pillar 3 document publication process and assist with stress testing, ICAAP, and ILAAP activities.
- YOU'LL BE A GREAT FIT IF YOU HAVE…
- MBA (Finance) from a Tier 1 institute/ CFA (cleared)/CA (cleared).
Who can apply
- MBA (Finance) from a Tier 1 institute/ CFA (cleared)/CA (cleared).
- A strong foundation in financial and accounting concepts, with an interest in regulatory reporting and treasury functions.
- High attention to detail with a commitment to accuracy and completeness in all work produced.
- Strong organisational skills with the ability to manage multiple reporting deadlines simultaneously.
- A proactive approach to identifying and resolving process gaps, with a continuous improvement mindset.
- Prior exposure to regulatory reporting frameworks such as PRA, Bank of England returns, or Basel III metrics.
- Familiarity with liquidity and capital concepts including LCR, NSFR, or RWA calculations.
- Experience working with financial data in Excel or other reporting tools.
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