Société Générale

Senior Analyst - Regulatory Reporting

Société Générale

Chennai, IndiaPermanent contractPosted Apr 27, 2026

Job description

Responsibilities

  1. The chief responsibility will be to perform the monthly & quarterly credit risk reporting activities.
  2. You are also expected to perform & supervise the data consistency checks, reconciliations (inventory vs risk, accounting vs risk) and perform exception management in case of any breaks encountered in the recompilations.
  3. Additionally, you are expected to contribute to the improvement of the existing process and comeup with new ideas that can bring value and efficiency to the process.
  4. Responsible for producing reports and metrics on the Credit Risk perimeter to consistently feed both external (meet the requirements of the regulator in terms of IFRS 9.2, BCBS239 and others) and internal (BU, RISQ, DFIN) uses. The prudential solvency metrics and reporting produced by DFIN are set out as follows: a. EAD – Quarterly calculation; b. RWA – Quarterly calculation; c. EL – Quarterly calculation; d. ECL IFRS 9 – Quarterly calculation with only GBIS at M-1 scope;