Financial and Regulatory Reporting Analyst
Tata Consultancy Services · Chennai, Tamil Nadu, India
Apply & track with Apply EdgeTCS Chennai Wal In Drive 19th September 2026 Saturday, 10:00 AM – 12:00 PM
- It’s mandatory to submit a valid copy of TCS Application Form during the drive, Candidate must have an active & registered EPID
- Mandatory to carry a valid Govt. ID proof & a photocopy of the same and a passport size photo.
- Candidates must have experience in banking sector for Reg reporting and Financial planning and AnalysisRole: Financial Planning and AnalystSkill: Finance and Accounting, FP&AExperience: 5 years to 15 yearsJob Location: ChennaiCertifications-Preferable - Financial Risk Management (FRM©) certification,IFRS 9Domain- Banking & Finance and AccountingEducation:Minimum 15 years of regular, full-time education (10 + 2 + 3)Chartered Accountant,Master’s degree in accounting, Finance, Economics, or related fieldMust Have Skills:Financial ModelingBudgeting & ForecastingVariance AnalysisStrong Accounting KnowledgeData Analysis & InterpretationGood to HaveScenario planning / What-if analysisLong-range planning & capital allocationSQL / Data extraction skillsPower BI / Tableau / Dashboarding tools
- Advanced FP&A expertise (Banking preferred)
- Strong understanding of Balance Sheet & Capital metrics
- Financial modelling (driver-based, scenario modelling)
- Knowledge of stress testing frameworks (BoE scenarios preferred)
- Advanced Excel + planning tools (Anaplan, SAP BPC, Hyperion)Tools / Systems
- Planning tools: Anaplan / BPC / Hyperion/FCSS/ Oracle Fusion
- Excel (advanced modelling)
- BI tools: Power BI / TableauRisks & Controls
- Risk: Model inaccuracies → Control: Model validation & reconciliation
- Risk: Data inconsistency → Control: Cross-functional alignment checks
- Risk: Regulatory non-compliance → Control: ICAAP/ILAAP validation reviews Job ResponsibilityA. Planning & Budgeting
- Manage driver-based budgeting models
- Consolidate and validate P&L, Balance Sheet, and key ratios
- Support business units in preparing planning submissions and review packs
- Execute cost allocation models, Maintain allocation drivers,B. Variance Analysis
- Actual vs Budget / Forecast analysis
- MoM and YoY movement analysis
- Cost center-level variance breakdowns
- Volume / rate / mix analysisC. Forecasting
- Prepare monthly rolling forecasts
- Update outlook based on performance, macro factors, and business inputs
- Maintain driver-based and scenario-integrated forecasting modelsD. Scenario Analysis & Stress Testing
- Perform sensitivity and what-if analysis (e.g., NIM, impairments, costs)
- Support regulatory exercises (ICAAP / ILAAP / stress scenarios)
- Quantify capital and liquidity impacts
- Prepare governance & committee packsE. Governance & Reporting
- Produce segment/customer profitability reports
- Draft variance commentary (templated/automated)
- Highlight key drivers and anomalies
- Prepare Board / ExCo packs
- Identify risks and opportunities in financial plans
- Validate data integrity and consistency across models***************************************************************************************************Role: Liquidity Reporting Skill: Finance and Accounting, Regulatory ReportingExperience: 5 years to 15 yearsJob Location: ChennaiCertifications-Preferable - Financial Risk Management (FRM©) certification,IFRS 9Domain- Banking & Finance and AccountingEligibility15 years of education (10+2+3)CA, CFA, FRM, MBA Finance, CA Inter, M.Com or B.ComBanking experience preferredExcel, PowerPoint, and large data handling experienceMust Have Skills:Calculation of LCR, NFSR, ALMM, PRA110Risk Analysis & Data ReconciliationUnderstanding of Basel, PRA, FCA and other banking regulations *****************************************************************************************************Role: Fin-ReportingSkill: Finance and Accounting, Fin-ReportingExperience: 5 years to 15 yearsJob Location: ChennaiCertifications-Preferable - Financial Risk Management (FRM©) certification,IFRS 9Domain-Banking & Finance and AccountingEligibility15 years of education (10+2+3)CA, CFA, FRM, MBA Finance, CA Inter, M.Com or B.ComBanking experience preferredExcel, PowerPoint, and large data handling experienceMust Have Skills:Group structure / disclosuresStatutory account notesUnderstanding of Basel, PRA, FCA and other banking regulationsFin-Reporting*******************************************************************************************************Role: Capital ReportingSkill: Finance and Accounting, Capital ReportingExperience: 5 years to 15 yearsJob Location: Noida/Chennai/BangaloreCertifications-Preferable - Financial Risk Management (FRM©) certification, IFRS 9Domain-Banking & Finance and AccountingEligibility15 years of education (10+2+3)CA, CFA, FRM, MBA Finance, CA Inter, M.Com or B.ComBanking experience preferredExcel, PowerPoint, and large data handling experienceMust Have Skills:Calculation of RWA, Capital Tier 1, COREPEconomic Capital Execution (ECE)Stress Testing & Capital PlanningRisk Analysis & Data ReconciliationUnderstanding of Basel, PRA, FCA and other banking regulations