focused on quantitative valuation and financial risk analysis. You will collaborate with seasoned capital valuation and risk analysis services to banking and financial clients Review and assess market risk techniques processes for clients Support projects on Interest Rate Risk in the Banking Book (IRRBB) and the Fundamental Book (FRTB) Contribute to Liquidity Risk and Counterparty Credit Risk projects, including framework review agreed timelines and budgets Identify and document risks, issues, and conclusions, escalating as needed Contribute
NFP014410-Roby-1 Maximizing Potential, Minimizing Risk One of South Africa's ever progressing manufacturing manufacturing companies is on the lookout for a Credit Compliance Officer to join their amazing team If you National credit manager Reporting Requirements: Would ideally be the 2IC to the National Credit Manager
NFP014413-Roby-1 Maximizing Potential, Minimizing Risk One of South Africa's ever progressing manufacturing manufacturing companies is on the lookout for a Credit Compliance Officer to join their amazing team If you National credit manager Reporting Requirements: Would ideally be the 2IC to the National Credit Manager
NFP014405-Roby-1 Lead Secure Our Future: Lead Finance and Risk with Precision Excellence with Us Job & Company Are you a finance professional with a keen eye for risk management and a passion for driving financial success looking for an experienced and dynamic Finance and Risk Manager to join our team and ensure our financial background in finance and risk management, we want to hear from you Position: Finance and Risk Manager Requirements: Minimum of 5 years of experience in finance and risk management Proven expertise in financial planning
NFP014312-RDL-3 Join our dynamic Treasury and Market Risk team, where finance meets innovation to harmonise Description: Your position is part of Treasury & Market Risk, a team of experts working together to provide clients implementing risk management and trading systems, Treasury, and measuring and improving risk and performance Responsibilities: Assess regulatory risks, conduct specialised audits, and comply with risk management processes Work Work closely with risk managers and senior analysts Participate in project delivery, identifying requirements
NFP014312-RDL-3 Join our dynamic Treasury and Market Risk team, where finance meets innovation to harmonise Description: Your position is part of Treasury & Market Risk, a team of experts working together to provide clients implementing risk management and trading systems, Treasury, and measuring and improving risk and performance Responsibilities: Assess regulatory risks, conduct specialised audits, and comply with risk management processes Work Work closely with risk managers and senior analysts Participate in project delivery, identifying requirements
Responsibilities include monthly billing checks, approving credit notes, verifying customer quotes and contracts support accounts receivable, and ensure proper credit vetting. Additionally, the candidate will handle
Responsibilities include monthly billing checks, approving credit notes, verifying customer quotes and contracts support accounts receivable, and ensure proper credit vetting. Additionally, the candidate will handle
satisfaction. Provide executive guidance on financial and risk matters, supporting planning with analyses. Establish business objectives. Oversee financial management and risk mitigation. Supervise budgeting, reporting, and and operational effectiveness. Implement financial risk management methodologies and systems. Education: fundamental risk management principles Familiarity with Enterprise Risk Management (ERM), Own Risk and Solvency
satisfaction. Provide executive guidance on financial and risk matters, supporting planning with analyses. Establish business objectives. Oversee financial management and risk mitigation. Supervise budgeting, reporting, and and operational effectiveness. Implement financial risk management methodologies and systems. Education: fundamental risk management principles Familiarity with Enterprise Risk Management (ERM), Own Risk and Solvency