Overall Purpose
- Multi-funtional role working with expert leaders in the finance department across all aspects of the Financing and management reporting activities.
- Financial Control and reporting of the Financing activities
- Management accounting and performance monitoring (Revenue, Expenses, New Production, RWAs etc).
- Regulatory reporting
Various tax duties as required
Main responsibilities
All actions where appropriate to this position must be compatible with Natixis carrying out business in accordance with the FCA Principles for Business which are available on the FCA website and detailed in the Natixis UK compliance manual
Responsible for producing:
Financial reporting and Control:
Group reporting (management and financial consolidation package - Copernic) and agreement of inter-company balances.
Monitoring of IFRS9 provisioning
Liaise with external auditors where necessary
Monitoring of the financing trial balance
Ensuring all balances are controlled effectively working closely with the Financing expert leader and Finance Porto
Production of FX centralization and cash management
Liaise with external auditors where necessary
Management information and reporting
- Including, but not exclusively the production of daily P&L, monthly MI for steering and weekly London ExCo– Portfolio, Business Line,and budget holder monthly reports
- With Financing expert leader, monitoring Financing commitments, Cost of Risk, RWAs, ad hoc management information requests.
- Assist with preparation of forecasts and budgets
- Monitoring indirect cost keys.
Regulatory reporting
- Produce regulatory suite
AI & Automation
- Identify and implement efficiencies and improvements where appropriate though the iuse of AI and IT tools.
Skills Required
- Proven experience in financial planning and analysis
- Strong knowledge of financial forecasting and reporting
- Ability to communicate complex financial concepts clearly
- Experience with strategic financial decision support
- Familiarity with AI tools for finance
What We Do
Natixis Investment Managers’ multi-affiliate approach connects clients to the independent thinking and focused expertise of more than 15 active managers. Ranked among the world’s largest asset managers*, Natixis Investment Managers delivers a diverse range of solutions across asset classes, styles, and vehicles, including innovative environmental, social, and governance (ESG) strategies and products dedicated to advancing sustainable finance. The firm partners with clients in order to understand their unique needs and provide insights and investment solutions tailored to their long-term goals.







