Job Responsibilities :
Administer the processes related to generating recurring financial reports (acquire data from various data sources, set-
up and maintenance of finance information systems and databases, implementation of controls to ensure data integrity).
Take ownership of recurring monthly, quarterly, business and executive management financial dashboards and analytics both at Luxembourg statutory level but also at consolidated group level.
This involves ensuring data consistency in reporting and showing interest in financial data understanding.
Contribute to standardize, improve and automate the production of recurring financial and regulatory reports, rendering the production processes more efficient.
Collaborate with the finance performance team and assist in the development and set-up of new / ad-hoc financial reporting.
Experience in the administration and management of data and / or reporting activities,
Good knowledge of banking activities is a plus,
Advanced knowledge of Excel is required, knowledge of business / datawarehouse software is a plus.
Well organized, Detail-oriented with the ability to manipulate large volumes of data to produce management level
Critical thinking skills,
Ability to effectively prioritize workload and meet deadlines,
Must have the ability to work independently and handle multiple tasks in parallel,
Capacity to question, challenge and optimize existing processes.
English and French are required.