leading organisation is seeking a highly skilled Manager of Risk Modelling and Credit Analysis to join their implementing a comprehensive risk modelling framework and strategy to ensure risk models enhance business business operations, contain and price risk losses, and optimise customer differentiation. Key Responsibilities: Develop and execute the risk and underwriting models strategy. - Lead and manage the risk modelling team. -
JHB000315-CLG-1 The Credit Risk Manager – origination and structuring, will assist the Credit Risk Executive with appropriate credit and investment risk deal assessment processes. You will manage a team of Credit analysts to improvement of assessment processes and risk-enhancing mechanisms. Manage all aspects of the transaction inclusive investments to align with the businesses mandate, risk tolerance and strategic direction. Evaluate potential opportunities by performing detailed credit and risk assessments, financial analysis, and market research
focused on quantitative valuation and financial risk analysis. You will collaborate with seasoned capital Collaborate with senior managers to provide high-quality valuation and risk analysis services to banking assess market risk techniques and processes for clients Support projects on Interest Rate Risk in the Banking Book (FRTB) Contribute to Liquidity Risk and Counterparty Credit Risk projects, including framework review briefs, analytical notes, and reports sections Manage client relationships and oversee work program delivery
leading organisation is seeking a highly skilled Manager of Risk Modelling and Credit Analysis to join their implementing a comprehensive risk modelling framework and strategy to ensure risk models enhance business business operations, contain and price risk losses, and optimise customer differentiation. Key Responsibilities: Develop and execute the risk and underwriting models strategy. - Lead and manage the risk modelling team. -
for the position of Head Enterprise Risk & Quality Management (Peromnes Grade 5 ) based at Head Office Governance, Risk & Compliance. Strategy Implementation - Provide strategic, operational and management leadership leadership to the Governance Risk and Compliance function to achieve the vision and ATNS business strategies the function's strategy aligned to the Governance, Risk and Compliance (GRC) and overall ATNS business strategies the business strategies. Establish the Governance Risk and Compliance as a respected function. Support
JHB000315-CLG-1 The Credit Risk Manager – origination and structuring, will assist the Credit Risk Executive with appropriate credit and investment risk deal assessment processes. You will manage a team of Credit analysts to improvement of assessment processes and risk-enhancing mechanisms. Manage all aspects of the transaction inclusive investments to align with the businesses mandate, risk tolerance and strategic direction. Evaluate potential opportunities by performing detailed credit and risk assessments, financial analysis, and market research
Reporting into the Financial Manager and ultimately the Group Financial Manager, you will be required to internal financial statements and monthly management accounts • Management and meeting of various deadlines •
Job DescriptionPosition: Procurement Manager - Investments and Asset ManagementLocation: Cape Town Report Client is a leading global alternative investment manager focused on private equity, secondaries, credit offices and 188 billion of assets under management. The Client manages funds on behalf of pension funds, financial procurement processes around contract negotiation, risk management and service delivery.Reporting to the Global buildingWrite compelling commercial cases for approval by managing partnersWork with the data compliance team to
ethic. Purpose of this role: Financial Manager Asset Management manages the finance team and oversees the governance, financial analysis, risk management, budgeting, cashflow management, shareholder and lender funding and reporting. Manage the project companies' overall accounting to produce management accounts, financial administration, investor reporting and fund management. Review and manage compliance with the minimum ratios required Quarterly Board report co-ordination and presentation Management of Quarterly operational reports Funder, shareholder
exclusively. If you have experience as a Financial Manager, please share your profile. We generally have a required: Minimum 3 years' experience as a Financial Manager (Non-negotiable) Finance degree (Non-negotiable) Finance jobs, Accountant jobs, Financial Manager vacancies and Management Accountant vacancies. If you have