Oversee the consolidation of the financial and risk reporting Provide planning, budgeting and forecasting advantageous Knowledge of HFM will be advantageous Salary Market Related
negotiable
stakeholders to mitigate risk. Partner with management to identify and manage areas of risk and ensure regulatory Corporate Actions environment with proficient financial market knowledge, including experience managing a small Exception Handling Industry Knowledge International Market Knowledge
Corporate Actions environment with proficient financial market knowledge, including experience managing a small
relevant cost and pricing factors involved in defining market movements for Our Group's procurement spend environment sourcing intelligence, contract price adjustment and market analysis. Possess widespread understanding of economic operations. Implement Our Group's risk philosophy and enterprise risk management framework. Build and maintain Deep understanding of global and local commodity markets and the impacts on procurement and supply chains
relevant cost and pricing factors involved in defining market movements for Our Group's procurement spend environment sourcing intelligence, contract price adjustment and market analysis. Possess widespread understanding of economic operations. Implement Our Group's risk philosophy and enterprise risk management framework. Build and maintain Deep understanding of global and local commodity markets and the impacts on procurement and supply chains
mitigate operational risk. Partner the manager to identify, manage and control areas of risk. Communicate, enforce process, policy and risk documents to ensure proper controls are in place to mitigate risk and optimise regulatory them to make informed elections. Post-publication market engagement Access additional information from stakeholders reconciliations for CA 1 colleagues. Pre-publication market engagements, On request assist with research and expectations, regulatory requirements and mitigate risk to CIB. Matric / Grade 12 Banking qualification
mitigate operational risk. Partner the manager to identify, manage and control areas of risk. Communicate, enforce process, policy and risk documents to ensure proper controls are in place to mitigate risk and optimise regulatory them to make informed elections. Post-publication market engagement Access additional information from stakeholders reconciliations for CA 1 colleagues. Pre-publication market engagements, On request assist with research and expectations, regulatory requirements and mitigate risk to CIB. Matric / Grade 12 Banking qualification
steps. The role will also require the analysis of market and industry related activities and ideating appropriate appropriate responses to minimise the risks of pricing changes both long term and short term. View our