Credit Risk Consultant, you will play a pivotal role in analysing credit data, assessing risk factors
innovative solutions that enhance our clients' risk management strategies.
Key
identify potential risks and opportunities.
search of a skilled Credit Risk Manager to join our talented team. As a Credit Risk Manager, you will play
in assessing, monitoring, and mitigating credit risks to ensure the financial stability and success of
Responsibilities:
Develop and implement robust credit risk management strategies to safeguard against potential
/>Analyse credit data and trends to identify emerging risks and opportunities for improvement.
Collaborate
timely insights and recommendations to optimise risk-return profiles.
Stay abreast of industry developments
financial expert with a deep understanding of market risks, particularly in the areas of counter-party credit opportunity for you Key Responsibilities: As a Market Risk Specialist specialising in counter-party credit organisation's risk management strategy. Your responsibilities will include: Counter-party Credit Risk Analysis: Assessing and managing the counter-party credit risk exposure of our organisation, including evaluating creditworthiness of counter-parties and mitigating potential risks. Derivative Pricing: Utilising your expertise to
Key Responsibilities:
As a Market Risk Specialist specialising in counter-party credit
will play a pivotal role in our organisation's risk management strategy.
Your responsibilities
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financial expert with a deep understanding of market risks, particularly in the areas of counter-party credit opportunity for you Key Responsibilities: As a Market Risk Specialist specialising in counter-party credit organisation's risk management strategy. Your responsibilities will include: Counter-party Credit Risk Analysis: Assessing and managing the counter-party credit risk exposure of our organisation, including evaluating creditworthiness of counter-parties and mitigating potential risks. Derivative Pricing: Utilising your expertise to
across the Group, with the aim of maximizing the risk-adjusted returns on shareholder assets. Requirements:
What The Job Entails:
Requirements: Skills, Qualifications, Experience Required:
- Actuary / CA / CFA / MBA / Other relevant post-graduate degree.
- Minimum Experience: 5 years relevant experience in investment reporting and investment management.
- Technical experience required
- Strong investmen