of a skilled Credit Risk Manager to join our talented team. As a Credit Risk Manager, you will play a pivotal
Develop and implement robust credit risk management strategies to safeguard against potential losses
advantage
Proven experience in credit risk management within the financial services industry.
for navigating the intricate world of credit risk management? Do you thrive in dynamic environments where of a skilled Credit Risk Manager to join our talented team. As a Credit Risk Manager, you will play a pivotal Responsibilities: Develop and implement robust credit risk management strategies to safeguard against potential losses is an advantage Proven experience in credit risk management within the financial services industry. Strong
for navigating the intricate world of credit risk management? Do you thrive in dynamic environments where of a skilled Credit Risk Manager to join our talented team. As a Credit Risk Manager, you will play a pivotal Responsibilities: Develop and implement robust credit risk management strategies to safeguard against potential losses is an advantage Proven experience in credit risk management within the financial services industry. Strong
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 pricing models and stress tests, VaR, LCR, NSFR). Liquidity risk management, funding, funds transfer pricing. Governance
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 pricing models and stress tests, VaR, LCR, NSFR). Liquidity risk management, funding, funds transfer pricing. Governance
Counterparty Credit Risk Basel Book (CSRBB).
Opportunities Stakeholder Relationship Management Risk Management Reporting Staff Management Requirements: Bachelor
Opportunities Stakeholder Relationship Management Risk Management Reporting Staff Management Requirements: Bachelor
Finance, Actuarial Science, Quantitative or Risk Management. Postgraduate degree in Investment Management Finance, Actuarial Science, Quantitative or Risk Management. CFA certification would be advantageous. Experience:
Finance, Actuarial Science, Quantitative or Risk Management.