Computer Science, Information Technology, Risk Management or equivalent at NQF level 8.
professional with extensive exposure to enterprise risk management from a financial services point of view? A financial wellness is looking to hire an Enterprise Risk Manager to join their team. If you have experience in services, this one is for you. Duties: Enterprise Risk Management Framework Business Continuity Management Framework mitigating strategies Risk Management and/or Compliance analysis Risk management policies and strategies strategies Risk management and combined assurance reporting Corrective strategies and implementation plans Education:
/>Purpose: Develop, implement, and improve Risk Management Policies and Procedures. Identify risks and
/>Responsibilities:
Purpose: Develop, implement, and improve Risk Management Policies and Procedures. Identify risks and Risk Framework. Responsibilities: Support risk management activities, including identifying and managing risks. Assist in risk management strategy roll-out and development of risk management frameworks, strategies Provide input for the Risk Management Plan and support annual reviews of Risk Management Policy, Framework advise on processes and controls for operational risks. Manage inventory of processes for strategic watch,
Purpose: Develop, implement, and improve Risk Management Policies and Procedures. Identify risks and Risk Framework. Responsibilities: Support risk management activities, including identifying and managing risks. Assist in risk management strategy roll-out and development of risk management frameworks, strategies Provide input for the Risk Management Plan and support annual reviews of Risk Management Policy, Framework advise on processes and controls for operational risks. Manage inventory of processes for strategic watch,
and setting new standards in liquidity risk, capital management, and treasury best practices. A multinational and Counterparty Credit Risk Basel Book (CSRBB). Overseeing capital management, including the Internal Education: CA(SA) or Degree / Honours / Masters in Risk Management, Mathematics or Statistics CFA / FRM / PRM instruments and how these are utilized by Banks for risk management purposes. Understanding of pricing models and stress tests, VaR, LCR, NSFR). Liquidity risk management, funding, funds transfer pricing. Governance
Counterparty Credit Risk Basel Book (CSRBB).
and unionised workforce management
include: month-end functions; cost management, risk management; stock management; management of Regional Managers
NFP014076-SHb-1 Our client is a leading insurance and risk management firm dedicated to providing innovative solutions cross-functional teams to implement effective risk management strategies. Provide insightful analysis and