staying informed about legislative changes and industry best practices. Model Maintenance and Validation:
staying informed about legislative changes and industry best practices. Model Maintenance and Validation:
financial planning, management, and accounting per IFRS regulations. Oversee and manage assets register for analyze financial reports, providing insights to management. Implement risk assessment models to minimize
Maintaining effective communication with senior management, credit team, and international stakeholders Bachelor's Degree, preferably in finance, risk management, accounting, economics, or business studies. Ideally 1-3 years of experience in Credit Risk management Prior experience in Financial Analysis would
Maintaining effective communication with senior management, credit team, and international stakeholders Bachelor's Degree, preferably in finance, risk management, accounting, economics, or business studies. Ideally 1-3 years of experience in Credit Risk management Prior experience in Financial Analysis would
Routines: Execute consolidated financial routines and manage period-end closing. Analysis and Forecasting: Perform
Routines: Execute consolidated financial routines and manage period-end closing. Analysis and Forecasting: Perform