leading global banks is looking for a Credit Risk Manager. The bank provides a wide range of financial departments, including risk review of internal credit ratings and post-loan management reports. In addition credit Limit and transaction application and provide risk review opinions Review credit rating applications Monitor counterparty and industry concentration risk - Monitor credit limit expiry and credit limit renewal Monitor the monthly post lending reporting and issue risk review opinion - Monitor annual review of loans
leading global banks is looking for a Credit Risk Manager. The bank provides a wide range of financial departments, including risk review of internal credit ratings and post-loan management reports. In addition credit Limit and transaction application and provide risk review opinions Review credit rating applications Monitor counterparty and industry concentration risk - Monitor credit limit expiry and credit limit renewal Monitor the monthly post lending reporting and issue risk review opinion - Monitor annual review of loans
Reference: HC003109-Carol-2 Call Centre Agent (Insurance Industry) Retail Investments Service and Operations - Take responsibility for managing both reputational and financial risk, as a result of processing instructions increase operational efficiency, and reduce any risk or threats. - Actively improve own performance and effective, with a sense of urgency and excellent time management. - Very high attention to detail and quality and relevant experience, within the Investment, Insurance and Financial Services industry, with excellent
Title: Manager: Asset Management Distribution Role Type: Permanent Location: Centurion The Manager of Asset Asset Management Distribution at our client will be responsible for driving and implementing strategies focuses on growing Assets Under Management (AUM) for asset management capabilities and increasing gross different market segments. Effectively lead and manage the Institutional Distribution team to execute in strategy and operations across investment management professionals, product development, and the institutional
Title: Manager: Asset Management Distribution Role Type: Permanent Location: Centurion The Manager of Asset Asset Management Distribution at our client will be responsible for driving and implementing strategies focuses on growing Assets Under Management (AUM) for asset management capabilities and increasing gross different market segments. Effectively lead and manage the Institutional Distribution team to execute in strategy and operations across investment management professionals, product development, and the institutional
HC003263-Moipo-1 Job Tittle: Communication Centre Support Manager Key Responsibilities: Leadership: Lead team members decisions, and manage workflow efficiently. Managerial Functions: Oversee performance management, recruitment recruitment, and general people management. Coaching & Training: Provide ongoing coaching, identify training product and process knowledge Proven Call Centre management experience preferred Key Competencies: Client-focused
repayments. To conduct a thorough financial and risk analysis to determine client's ability to service To present and discuss transactions to the Credit Risk Committee/Alco/Exco/Board. Minimum Education: B Effective communication skills Accountability Managing staff
repayments. To conduct a thorough financial and risk analysis to determine client's ability to service To present and discuss transactions to the Credit Risk Committee/Alco/Exco/Board. Minimum Education: B Effective communication skills Accountability Managing staff
Reference: HC003109-Carol-2 Call Centre Agent (Insurance Industry) Retail Investments Service and Operations - Take responsibility for managing both reputational and financial risk, as a result of processing instructions increase operational efficiency, and reduce any risk or threats. - Actively improve own performance and effective, with a sense of urgency and excellent time management. - Very high attention to detail and quality and relevant experience, within the Investment, Insurance and Financial Services industry, with excellent
team which forms part of the Group Balance Sheet Management (GBSM) team. The role predominantly focusses across the Group, with the aim of maximizing the risk-adjusted returns on shareholder assets. Requirements: experience in investment reporting and investment management. - Technical experience required - Strong investment with various stakeholders. - Fund management / Portfolio management experience an advantage, particularly