HEAD OF RISK

Build a risk function and provide strategic, executive leadership and oversight of Enterprise Risk Management; Understanding of the combined risks of the business; Compiling, assessing and reporting risk information; Coordinate with the executive team, the development and maintenance of the risk frameworks; Monitoring risk, policies and procedures. BCom Honours in Business, Finance or Economics, 10 […]

RISK ANALYST

Assist in implementing the risk management framework; Recommending mitigating actions for areas of excessive risk-taking; Drafting and communication of risk policies and guidelines; Documenting risk management processes; Assisting with implementation of relevant aspects of legislation, regulation and guidance, particularly SAM Pillar 2 and King III & King IV, work closely with the Compliance Officer; Reporting […]

OPERATIONAL RISK SPECIALIST

Optimising the risk management and execute risk management strategies; Provide risk advice and execute policies, procedures, practices of a risk nature; Manage stakeholder expectations, risk analytics, insights; Embedding of risk policies; Operational Risk strategy and framework development and deployment; Ensure that the Risk Management Frameworks are effective within the organisation; Implementation of a strategic and […]

CREDIT ANALYST – PROJECT FINANCE/INVESTMENT BANKING

Prepare credit applications and interpret financial statements. Perform comprehensive, effective, accurate and high quality financial and risk analysis as part of credit applications and credit reviews, and make appropriate risk-based recommendations. Manage credit risks associated with a portfolio of clients. Facilitate the end to end process. Actively interact with the client service team giving credit […]

QUANTITATIVE ANALYST

Take the lead own the development of Credit Risk Models for Wholesale Portfolios as well as Operational Risk and Risk Aggregation Models. PD, LGD and EAD models for Regulatory Capital; Economic Capital; AS 39 and IFRS 9 impairments; Macro-economic variable modelling; Stress-testing; Forecasting. A Great opportunity to apply extensive banking, risk management and model development […]

CREDIT ANALYST

Prepare credit applications and interpret financial statements. Perform comprehensive, effective, accurate and high quality financial and risk analysis as part of credit applications and credit reviews, and make appropriate risk-based recommendations. Project Finance credit experience is non-negotiable. BCom degree/ CA (SA) required. Please contact Thanusha or Fiona on 0113255400 or email CV to: [email protected]

ENTERPRISE WIDE RISK SPECIALIST

Optimising the risk management and execute risk management strategies; Provide risk advice and execute policies, procedures, practices of a risk nature; Manage stakeholder expectations, risk analytics, insights; Embedding of risk policies; Operational Risk strategy and framework development and deployment; Ensure that the Risk Management Frameworks are effective within the organisation; Implementation of a strategic and […]

REGULATORY MANAGER

Solid understanding and experience within Ecap and Reg cap, Understanding models, operational processes, Basel and Impairments. Experience within the full risk spectrum, Stress testing, IFRS 9, model validation, risk reporting, Strategic Capital Management. CA (SA) is required, 3 – 5 years’ experience. Please contact Thanusha or Fiona on 0113255400 or email CV to: [email protected]

CREDIT RISK ANALYST

Manage credit risks associated with a portfolio of clients. Facilitate the end to end lending or restructuring process. Actively interact with the client service team giving credit input to ensure responsible risk taking whilst retaining commercially minded solutions. Facilitate credit sanctioning decisions ensuring responsible risk decisions are made. Maintain and manage the relevant Risk portfolios […]

SENIOR QUANTITATIVE ANALYST – MODEL DEVELOPMENT/STRESS TESTING

Take the lead own the development of Credit Risk Models for Wholesale Portfolios as well as Operational Risk and Risk Aggregation Models. PD, LGD and EAD models for Regulatory Capital; Economic Capital; AS 39 and IFRS 9 impairments; Macro-economic variable modelling; Stress-testing; Forecasting. A Great opportunity to apply extensive banking, risk management and model development […]