Qualification - Grade 12 Degree in Economics, Finance or Statistics. Preferred Qualification - Degree Degree in Economics, Finance or Statistics. Experience: Financial Service Experience (e.g., Banking, Asset
Qualification - Grade 12 Degree in Economics, Finance or Statistics. Preferred Qualification - Degree Degree in Economics, Finance or Statistics. Experience: Financial Service Experience (e.g., Banking, Asset
Risk analysis Matric Degree in Finance, Economics, Statistics, Maths or equivalent 6 Years experience
Risk analysis Matric Degree in Finance, Economics, Statistics, Maths or equivalent 6 Years experience
Bachelor's Degree in Finance, Economics, Commerce, Mathematics, Statistics (or similar); 6 years' experience
Requirements : Honours degree in Economics, Actuarial Science, Statistics, Finance, Engineering or Mathematics
REQUIRED Matric Relevant degree (Accounting, Economics, Statistics, Mathematics) Must have at least 2 years'
Requirements Bachelor's degree in Finance, , Economics, Statistics, Mathematics or a related field Asset Management
Requirements Bachelor's degree in Finance, , Economics, Statistics, Mathematics or a related field Asset Management
in Business Administration, Marketing, Economics, Statistics, or related field. Master's degree preferred