Assess, analyse, and mitigate credit risks within the bank's portfolio of lending products Monitor the portfolios Identify trends and risks, recommend risk mitigation strategies Maximise risk adjusted returns Prepare reports highlighting key risk metrics, trends, and recommendations Manage model risk for the credit portfolio cut-off strategies are in place Ensure the Credit Risk framework and credit policies are aligned to regulatory regulatory developments Develop and implement credit risk strategy Ensure that business lending plans deliver
Financial Services Company requires a Credit Risk Portfolio Manager to join their team and be responsible for for assessing, analysing, and mitigating credit risks within the portfolio of lending products. Monitor identifying trends and potential risks, and recommending appropriate risk mitigation strategies. Preparing to senior management Managing model risk for the credit portfolio. Ensure the Credit Risk framework and to the development and implementation of credit risk strategy across the credit lifecycle. Implement
Financial Services Company requires a Governance Manager to lead their Sourcing and Supplier Department all documents Responsible for identifying and managing risk of deals Ensuring compliance with Supplier Governance BCom Degree Minimum 7 Years Sourcing and Governance Risk experience Must have good understanding of BBBEE essential Good Understanding of Supplier Relationship Management Salary Market Related
of a skilled Credit Risk Manager to join our talented team. As a Credit Risk Manager, you will play a pivotal
in assessing, monitoring, and mitigating credit risks to ensure the financial stability and success of
Develop and implement robust credit risk management strategies to safeguard against potential losses
/>Analyze credit data and trends to identify emerging risks and opportunities for improvement.
Collaborate
timely insights and recommendations to optimize risk-return profiles.
Stay abreast of industry developments
focused on quantitative valuation and financial risk analysis. You will collaborate with seasoned capital Collaborate with senior managers to provide high-quality valuation and risk analysis services to banking assess market risk techniques and processes for clients Support projects on Interest Rate Risk in the Banking Book (FRTB) Contribute to Liquidity Risk and Counterparty Credit Risk projects, including framework review notes, and reports sections Manage client relationships and oversee work program delivery Coordinate with
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Risk Assistant Johannesburg
Well-established Professional Services Services client seeks a Risk Assistant with 2-4 years’ experience. Must have research experience and be able Requirements:
Bachelor’s degree
Risk Management experience
Previous experience in a similar
Financial Services Company requires a Governance Manager to lead their Sourcing and Supplier Department all documents Responsible for identifying and managing risk of deals Ensuring compliance with Supplier Governance BCom Degree Minimum 7 Years Sourcing and Governance Risk experience Must have good understanding of BBBEE essential Good Understanding of Supplier Relationship Management Salary Market Related
Assess, analyse, and mitigate credit risks within the bank's portfolio of lending products Monitor the portfolios Identify trends and risks, recommend risk mitigation strategies Maximise risk adjusted returns Prepare reports highlighting key risk metrics, trends, and recommendations Manage model risk for the credit portfolio cut-off strategies are in place Ensure the Credit Risk framework and credit policies are aligned to regulatory regulatory developments Develop and implement credit risk strategy Ensure that business lending plans deliver
Financial Services Company requires a Credit Risk Portfolio Manager to join their team and be responsible for for assessing, analysing, and mitigating credit risks within the portfolio of lending products. Monitor identifying trends and potential risks, and recommending appropriate risk mitigation strategies. Preparing to senior management Managing model risk for the credit portfolio. Ensure the Credit Risk framework and to the development and implementation of credit risk strategy across the credit lifecycle. Implement