their single risk pricing team in Johannesburg. This role would suit a Actuarial Analyst who would like Analyse and pricing of individual short tail single-risk accounts typically with complex features or high (Underwriting / Premium Risk), which is concluded in conjunction with Group Risk Management, Capital Modelling beginning possibly manage a small team of Pricing analysts and/or Cat modellers within few months after the insurance is compulsory (if possible on large corporate risk or London Market) Working knowledge of pricing
Job title: Actuarial Analyst The Actuarial Analyst will be responsible for analyzing and interpreting provide insight into the financial implications of risk and uncertainty for various insurance and financial qualification is essential –Bachelor's Degree (Finance / Risk Management / Mathematics /Actuarial science) 2-3 2-3 years' experience as an Actuarial or Risk analyst If following the Actuarial track, steady progression
experienced Senior Credit Analyst to join their team. As a Senior Credit Analyst, you will be responsible informed investment decisions and managing the credit risk of the firm's portfolio. Your responsibilities will Conduct industry and market research to assess the risks and opportunities associated with investment opportunities portfolio and proactively identify potential credit risks or issues Collaborate with other teams within the including the investment team, legal team, and risk management team Stay updated on industry trends
Client is urgently seeking a Senior Actuarial Analyst to join their team in Johannesburg. In this role Develop and maintain financial models to assess risks and estimate future outcomes Collaborate with cross-functional
Client is urgently seeking a Senior Actuarial Analyst to join their team in Johannesburg. In this role Develop and maintain financial models to assess risks and estimate future outcomes Collaborate with cross-functional
is currently seeking a talented Fixed Income Analyst and Assistant Portfolio Manager to join their team to identify investment opportunities, evaluate risks, and make informed investment decisions. You will instruments' sensitivity and convexity. Monitor the risk adjusted return of the credit universe, build, and
and experienced Credit Analyst to join their team in Sandton. As a Credit Analyst, you will be responsible evaluating loan applications and determining the risks associated with credit transactions. The ideal candidate clients Evaluate loan applications and assess the risks associated with credit transactions Prepare detailed portfolio and proactively identify potential issues or risks Collaborate with clients to gather necessary financial skills Knowledge of banking regulations and credit risk assessment Excellent verbal and written communication
experienced Senior Credit Analyst to join their team. As a Senior Credit Analyst, you will be responsible informed investment decisions and managing the credit risk of the firm's portfolio. Your responsibilities will Conduct industry and market research to assess the risks and opportunities associated with investment opportunities portfolio and proactively identify potential credit risks or issues Collaborate with other teams within the including the investment team, legal team, and risk management team Stay updated on industry trends
and experienced Credit Analyst to join their team in Sandton. As a Credit Analyst, you will be responsible evaluating loan applications and determining the risks associated with credit transactions. The ideal candidate clients Evaluate loan applications and assess the risks associated with credit transactions Prepare detailed portfolio and proactively identify potential issues or risks Collaborate with clients to gather necessary financial skills Knowledge of banking regulations and credit risk assessment Excellent verbal and written communication
is currently seeking a talented Fixed Income Analyst and Assistant Portfolio Manager to join their team to identify investment opportunities, evaluate risks, and make informed investment decisions. You will instruments' sensitivity and convexity. Monitor the risk adjusted return of the credit universe, build, and