Analyst - Credit Risk (JB4354) Woodstock, Cape Town (Office Based) R550 000 - R700 000 CTC per annum Duties and Responsibilities: Develop optimal credit risk policies and determine limit calculations. Analyze with Kontak Recruitment. Develop optimal credit risk policies and determine limit calculations. Analyze
We are looking for a competent and driven Senior Risk Analyst who will be exposed to all aspects of the tasks include :
looking to identify a CA(SA) to assist them with Risk and Control mitigation through their SAP implementation opportunity is ideally positioned for a CA(SA) with strong Risk and Control experience, coupled with SAP migration more effectively ensure Controls are optimal and Risks are eliminated across all new implementations - processes and checks - Assess and document all risks of non-compliance and complimentary manual controls and controls and controls automation. - Provide risk management support and guidance to the project team
currently looking to employ a Financial Advisor (Risk Products) . To provide and implement advice in respect
Requirements:
Analyst - Credit Risk (JB4354) Woodstock, Cape Town (Office Based) R550 000 - R700 000 CTC per annum Duties and Responsibilities: Develop optimal credit risk policies and determine limit calculations. Analyze with Kontak Recruitment. Develop optimal credit risk policies and determine limit calculations. Analyze
Exposure and understand the importance of evaluating risk? Is working within the Commercial Underwriting space item within a risk/section), etc. Not afraid to investigate and learn new skills. Securing new business
(amongst others) in respect of Plant All Risk, Contractors All Risk, Machinery Breakdown & Business Interruption diary management, quantum, recoveries, salvage and secure proper claims maintenance
Exposure and understand the importance of evaluating risk? Is working within the Commercial Underwriting space item within a risk/section), etc. Not afraid to investigate and learn new skills. Securing new business
and business valuations of listed and unlisted securities with a view to making a long term investment before the firm undertakes an investment into a security on behalf of its client. Involves the primary with Management at the highest level. Quantify risks relative to the expected return of an investment variable and its implications on the risk and return profile of a security. Evaluate regional and global developments implications with regard to future risk and returns of a security. Prepare long term sheets and analyze