Finance, Accounting, Business Administration or Economics • CA Qualification preferable Experience • 5 years
ensures effective portfolio management. Business, Economics, or Investment related degree, preferably with
ensures effective portfolio management. Business, Economics, or Investment related degree, preferably with
requests.
rate of return calculations.
/>Bachelor's degree in Finance, Accounting, Economics, or related field; MBA or CPA preferred.
s Degree and/or Advanced Diploma in Finance, Economics, or Accounting with NQF Level 07.
EAD and IFRS9 model building experience.
/>
Evaluate the impact of changes in macro and micro economic variable and its implications on the risk and obtained from the media (newspapers/Bloomberg etc), Economic data released, Market update. Ensure that you Management Meeting dates, Global Economic Data releases, Local Economic Data releases, Investment and Quarterly companies, industry factors, macro and micro economics variable and impacts, geopolitical factors are