Risk & Regulatory Reporting - Investment Fund Analyst - as of June 2026
Risk & Regulatory Reporting - Investment Fund Analyst - on site - full time
Your future team
Risk and Regulatory Reporting is part of our Consulting practice in the asset management space. We are dealing with both UCITS and Alternative Investment Funds on a daily basis. We specialize in providing data management and regulatory advisory as well as reporting solutions for our clients. Our expertise covers regulatory reporting and risk management analysis both from a regulatory and quantitative lens.
The advantages of joining us
- Career growth, your way : Access top-notch training and career development, with a clear progression path to help you level up at your own pace.
- Innovative work that matters : Tackle cutting-edge projects and utilize the latest tech, with all the tools you need to stay ahead.
- Inclusive, flexible culture : Embrace a culture where your voice matters, with flexible hours to balance work and life seamlessly.
- Purpose-driven work : Get involved in sustainability initiatives and community service, making a real difference while growing your career.
- Build your network : Gain access to our global network of professionals and notable alumni and attend industry events to connect and grow your professional circle.
How you'll contribute to our success
- Analyze Data and Deliver Insights: Assist our team and clients in their data processing activities to ease data processing and risk figure computation. Leverage on our in-house reporting system to provide actionable insights to our clients.
- Innovate and Improve: Actively participate in the enhancement of our reporting system by utilizing the latest technologies, including ETL processes, Python scripting, and SQL databases for efficient data management and analysis.
- Research and Develop: Engage in internal research projects on latest quantitative and regulatory framework updates. Leverage from AI capabilities to implement innovative data science methodologies to advance our research capabilities.
- Knowledge Development: Cultivate an in-depth understanding of investment funds, statistics, financial instruments, derivatives and private assets. Apply technological solutions to deepen analytical insights and improve reporting accuracy.
Your skills
- Master’s degree in data science or related fields with a minor in Financial markets.
- Demonstrate curiosity and a keen interest in finance and investment funds sector.
- Possess knowledge and/or hands-on experience with Excel, ETL processes, Python, and SQL databases. Familiarity with data visualization system. Machine learning applications is a plus.
- Be rigorous, quality-driven, and result-oriented, with exceptional analytical and synthetic skills. Utilize data science techniques to enhance analytical capabilities and deliver precise insights.
- Show strong communication capabilities, work autonomously, and thrive in team environments.
- Be fluent in English; proficiency in French or German is considered a plus.
Interested? Please submit your resume in English
Get to know more about Deloitte; LinkedIn page (#DeloitteLU), Instagram page, YouTube page or website.
With more than 2,600 employees and 98 nationalities, Deloitte Luxembourg is one of the Grand Duchy's largest, strongest and oldest professional services firms. For 75 years, our talented teams have been serving clients in various industries delivering high added-value offerings to national and international clients in audit and assurance, consulting, financial advisory, risk advisory, tax, and related services. Deloitte Luxembourg is part of the global Deloitte network.
Informationen
Risk & Regulatory Reporting - Investment Fund Analyst - as of June 2026
Dauerhaft (CDI)
21/04/2026
Luxembourg
Master-Abschluss
Vollzeit

