Job Description
The Group Finance team plays a pivotal role in analyzing and commenting on financial information provided to management and external parties. Their responsibilities include scrutinizing and monitoring actual accounts and forecast analyses under IFRS and Solvency 2, as well as producing the annual report.
Within this team, the Group Consolidation unit is responsible for compiling and preparing AXA Group's IFRS Financial Statements (actual & plan) and Solvency 2 Pillar 3 regulatory reporting on a quarterly basis. This entails regular interactions with entities to review and control IFRS statements and S2P3 reporting delivered.
The Group Consolidation team engages with other Group teams and key external stakeholders such as Auditors and Regulators. The team consists of junior and senior Controllers based in Madrid, operating under the supervision of the Head of Consolidation team.
The mission of the Financial Controller in Consolidation involves supporting their direct manager in controlling, analyzing, and delivering S2P3 regulatory reporting. This includes reviewing and controlling S2P3 quarterly and annual reporting, as well as contributing to Group Solvency 2 reports (RSR and SFCR).
The controller will be responsible for defining group timetables and instructions, preparing internal regular syntheses, identifying and implementing process improvements, and managing audit trails and internal control frameworks.
Required Skills and Qualifications
Benefits
This role offers opportunities for professional growth and development in a dynamic environment. As a member of the Group Finance team, you will contribute to the success of our organization by providing high-quality financial analysis and support.
Others
We are seeking highly organized, structured, and proactive individuals who can work effectively in an international environment. If you are open to change, flexible, and a good team player, we encourage you to apply for this challenging role.
Reporting Specialist • Madrid, España