Capital Management & Reporting Senior Consultant / Manager

PwC Portugal

Lisboa

Presencial

EUR 35 000 - 52 000

Tempo integral

14 dias+
Gerador de candidaturas

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Resumo da oferta

PwC Portugal's Financial Services Risk & Regulation unit invites you to join a team focused on capital management and reporting for financial institutions. You will work on CRR3 implementation, ICAAP frameworks, and Basel-related regulatory developments to strengthen governance and risk measurement.

The role emphasizes collaboration, strong Excel and PowerPoint skills, and clear communication in English. With 2+ years in finance, you will help design and monitor capital models and support

Qualificações

  • Good command of English (spoken and written).
  • Strong communication and interpersonal skills.

Responsabilidades

  • Implementation/review of capital requirements (CRR3) in financial institutions.
  • Optimization of regulatory capital calculation.
  • Implementation/review of risk quantification models within the ICAAP framework.
  • Monitoring of key market trends and regulatory developments under Basel.

Conhecimentos

English proficiency
Communication skills
Interpersonal skills

Formação académica

Bachelor's/Master's in Management, Finance, or Economics

Ferramentas

MS Excel
MS PowerPoint

Descrição da oferta de emprego

Capital Management & Reporting

To support national financial institutions, PwC created the Financial Services Risk & Regulation department in January 2015. Due to its characteristics, this department is particularly well-equipped to assist financial institutions in developing and implementing internal governance structures and mechanisms, evaluating and implementing integrated risk management solutions—including advanced credit risk management models—as well as designing recovery and resolution plans. This unit is also highly capable of supporting the implementation of prudential regulation and identifying opportunities for improvement in this area.


PwC’s Financial Services Risk & Regulation department offers you the opportunity to participate in technically challenging projects in the banking sector, allowing you to develop business-oriented solutions aimed at better organization, measurement, and monitoring of the main risks and challenges faced by banks.


Responsibilities


  • Implementation/review of capital requirements (CRR3) in financial institutions;

  • Optimization of regulatory capital calculation;

  • Implementation/review of risk quantification models within the ICAAP framework;

  • Monitoring of key market trends and regulatory developments under Basel.


Desired Profile


  • Minimum of 2 years of professional experience in the financial sector, preferably in roles related to regulatory and economic capital calculation (Basel Pillars I and II);

  • Bachelor's and/or Master's degree in Management, Finance, or Economics;

  • Good command of English (spoken and written);

  • Advanced proficiency in MS Office tools (MS Excel; MS PowerPoint);

  • Strong communication and interpersonal skills.


We believe you have what it takes. And you, are you ready to join our "community of solvers"? Be a part of The New Equation.

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