





Tier-1 brand, mid-level experience band, and metro location increase applicant competition.
Focus on capital and balance-sheet data quality for finance means strong domain-specific skills, reducing cross-industry transferability.
Explicit 2-6 years requirement, finance reporting domain expertise and regulated environment raise selection strictness.
Login to See Your Match Score
Create a free account or log in to unlock your CV match score across:
Manage and monitor data quality controls related to Capital, Regulatory, Internal and Management Reporting in Finance.
Perform and oversee data completeness, accuracy checks, profiling, and analytics for financial reporting and risk variance monitoring.
Communicate critical data quality issues to stakeholders and produce data quality metrics for senior management and IT; support project delivery and mentor junior team members.
Bachelor’s degree or higher in Finance/CA/MBA from a reputed college with good knowledge of Financial Products.
2-6 years of relevant experience, preferably with exposure to Capital or Balance sheet reporting.
Working knowledge of Finance domain, Capital Data (Credit Risk, Market Risk), and Balance sheet reporting; understanding of capital and money market instruments.
Experience or familiarity with tools such as Alteryx, Tableau, Power BI is preferred but not mandatory.
Experienced in Finance data management with a focus on Capital and Balance sheet data quality control and reporting.
Capable of handling cross-functional communication, collaborating with global teams, and escalating critical data issues effectively.
Comfortable mentoring juniors and supporting both tactical issue resolution and strategic data quality initiatives.