Sci; B.Com (Hons) etc.
Bachelor's degree in Finance, Economics, or related field CFA Level II preferred and will take preference for applications
Masters in Risk Management, Mathematics or Statistics CFA / FRM / PRM preferable Work experience in the treasury
Risk Management, Mathematics or Statistics
Risk Management, Mathematics or Statistics
BSc (with Mathematics, Statistics or similar); and CFA/CIPM candidacy an advantageous. Key behaviours and
Mathematics, Statistics or similar); andÂ
of Public Equities and Global Financial Markets CFA or CAIA is advantageous. Skills required : Proven
Science/Actuarial), and/or Post Graduate degree CFA or FRM studies preferred. Strong programming skills
Commerce Honours CA(SA) Chartered Financial Analyst (CFA) designation Demonstrated history of academic excellence