Robert Walters South Africa As a Senior Credit Risk Analyst, you will have a broad and impactful role sets to identify factors correlated with credit risk outcomes and developing models to forecast consumer to achieve better credit risk outcomes. Additionally, you will determine risk-based product pricing to You will also mentor and develop junior credit risk and data analysts, fostering a culture of analytical contributions will ensure robust and effective credit risk policies, optimizing profitability and driving financial
the Manager: Performance and Risk, the successful incumbent is responsible for supporting business units units and the Risk Management Department in the identification, assessment, management, monitoring and reporting of risk activeness across the organisation. Key Performance Areas Performance and Risk Monitor the RAF and business unit risk mitigation strategies. Facilitate the development of a risk management culture culture which includes training of staff on risk management policies and practices. Maintain a register of
customers for loans, deposits, foreign exchange business, trade finance according to the banks relevant requests
Requirements
industry leaders and a vast majority of our business is repeat business. ENVIRONMENT: DRIVE the development of pricing and product features as the next Senior Credit Risk Analyst wanted by a fast-growing FinTech in an unstructured management environment and have a passion for African business. You will require a identify factors correlated with Credit Risk outcomes. Develop Credit Risk models that forecast the likelihood default. Assist operations to achieve better Credit Risk outcomes by integrating models and data-driven approaches
Robert Walters South Africa As a Senior Credit Risk Analyst, you will have a broad and impactful role sets to identify factors correlated with credit risk outcomes and developing models to forecast consumer to achieve better credit risk outcomes. Additionally, you will determine risk-based product pricing to You will also mentor and develop junior credit risk and data analysts, fostering a culture of analytical contributions will ensure robust and effective credit risk policies, optimizing profitability and driving financial
of a skilled Credit Risk Manager to join our talented team. As a Credit Risk Manager, you will play a pivotal
in assessing, monitoring, and mitigating credit risks to ensure the financial stability and success of
Develop and implement robust credit risk management strategies to safeguard against potential losses
/>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
focused on quantitative valuation and financial risk analysis. You will collaborate with seasoned capital Responsibilities: Collaborate with senior managers to provide high-quality valuation and risk analysis services to assess market risk techniques and processes for clients Support projects on Interest Rate Risk in the Banking Book (FRTB) Contribute to Liquidity Risk and Counterparty Credit Risk projects, including framework review briefs, analytical notes, and reports sections Manage client relationships and oversee work program delivery
leading Investment company is searching for a Risk Manager, to provide reliable, value added and independent effectiveness of risk management within the group of companies which includes Wealth, Asset Management, Short term Distribution (adviser business for both wealth and insure) and Support (management services functions like the interests of stakeholders by identifying and managing all threats to the achievement of the companies improve risk management strategies and processes within group. Plan, execute and manage risk analysis
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
Applications are invited for the position of Manager: Risk x2 (Peromnes Grade 7) based at Bruma. The successful to the Head Enterprise Risk & Quality Management. Enterprise Risk Management - Develop and maintain maintain a fit-for-purpose Enterprise Risk Management Framework (RMF) aligned to best practice methodologies; all business units in the utilisation of risk management systems and tools; Embed appropriate risk management organisation such as incident management, risk and control self-assessments, key risk indicators and the enhancement