Job Title:  FIN_Grp Fin Cntrl_AN

Job Code:  5631
Country:  IN
City:  Mumbai
Skill Category:  Finance
Description: 

Nomura Overview:
Nomura is an Asia-headquartered financial services group with an integrated global network spanning
over 30 countries. By connecting markets East & West, Nomura services the needs of individuals,
institutions, corporates and governments through its four business divisions: Retail, Asset
Management, Wholesale (Global Markets and Investment Banking), and Merchant Banking. Founded
in 1925, the firm is built on a tradition of disciplined entrepreneurship, serving clients with creative
solutions and considered thought leadership. For further information about Nomura, visit
www.nomura.com
Nomura Services India, (Powai) supports Nomura’s businesses around the world. Powai’ s world class
capabilities in trading support, research, information technology, financial control, operations, risk
management and legal support have played a key role in facilitating Nomura’s global operations and
are an integral part of Nomura’s global expansion plans. The Powai operation is a critical part of the
platform to support the growth of Nomura’s global business.

Divisional Overview:
The Corporate finance team performs global and seamless Finance operations including trading and
product control, Group financial reporting and disclosure, management information and reporting for
decision support, planning and development of financial strategy including funding policies and financial
analysis, funding and cash management, tax planning and reporting, investor relations management,
and much more.
Business Unit Overview:
Finance and Capital Reporting (FCR) is a key component of the Finance Department, which has an
excellent reputation within the bank and externally. The unit is responsible for ensuring that the firm is
adequately capitalised at all times against its risk weighted assets as well as maintaining leverage asset
levels under regulatory limits, identifying any threats to the viability of the firm helping the management
identify appropriate actions and ensures timely production of key balance sheet metrics as required by
regulators. The unit covers areas as follows:
• Group Reporting: Ensuring Financial statements are complete, accurate, prepared in a timely
manner, and are in accordance with Generally Accepted Accounting Principles (GAAP) on a
legal entity and a consolidated basis.
• External Reporting: Ensuring regional regulatory returns are produced and submitted timely
covering financial statements, capital ratios, leverage ratio and risk weighted assets on monthly /
quarterly / annual basis
• Daily reporting: Ensuring daily production of capital adequacy components such as counterparty
credit risk, market risk, large exposure risk, settlement risk, CVA risk, leverage ratios,
management balance sheet to Senior management
• Finance Policy: Provide guidance and support to the reporting teams on the interpretation of
existing and future accounting and capital requirements

 

Position Specifications:

Corporate Title Analyst

Functional Title Analyst
Experience 4-7 years
Qualification CA / CFA / MBA (Finance) & FRM is a plus
Requisition No.

 

 

Role & Responsibilities:

 

The role covers responsibilities for running processes and projects in the capital reporting team,
which underpin the Regulatory Reporting of the European consolidation group and its regulated
subsidiaries. It will include working with colleagues in Mumbai, London, Frankfurt and Paris.
The role will encompass production of key capital adequacy metrics as per Basel III rules including:
• Calculation covering standardized approaches for counterparty credit risk, market risk,
settlement risk and capital deductions.
• COREP reporting
• Responding to business / management driven queries & requests
• Large Exposure calculation in accordance with CRDIV and Basel III norms
• Analysis of RWA to monitor movements and identifying optimization opportunities
• Development of daily MI through new age BI tools such as Alteryx and Power BI / Tableau.
• Interaction with Risk management for validating Risk inputs.
• Interaction with other teams like IT, Ops, LE Controllers and Legal
• Defining business requirements for IT implementation in case of new projects / process
enhancements
The role will be challenging and will provide a variety of responsibilities covering technical, process
& interpersonal skill sets. It will be an excellent opportunity to develop knowledge of regulatory
financial and capital reporting providing a deep insight into financial positions of EMEA entities.

 

 

Key Skills:
Mandatory Desired
Domain





Financial services industry exposure
/ good working knowledge in
Financial reporting function with
exposure to IFRS and US GAAP
Capital Market knowledge
Excellent communication skills &
ability to communicate ideas
concisely and clearly
Ability to work in stringent deadlines
Ability to deliver accurate reports
within agreed timelines


Proficiency in bringing issues to
closure by keeping all the
relevant stakeholders informed.
Previous experience in Financial
reporting / Capital reporting
within Investment Banking is
preferred
 Understanding of financial products  Self-starter, problem solver and
ability to work with minimal
supervision
Technical


Advanced Excel and PowerPoint
skills and ability to learn Finance
specific systems
Inquisitive mind set with ability to
challenge the norm
 Working knowledge with
Tableau, Power BI, Alteryx,
Excel VBA macros and SQL and
ability to self –learn similar new
age IT tools