& development of analytic solutions Monitor credit risk settings & appetite of the organization. Ensure that risk analytics and credit risk management, align to business strategies & provisioning using outputs from models in credit decision, business strategies, risk appetite setting and provisioning models for the measurement and management of credit risk. Work closely with model validators to ensure experience in telecommunications or credit risk Experience in credit risk modelling including IFRS9 is preferable
Required:
up-to-date solutions. Test experience in a CIB Credit Risk Management environment, i.e., testing related related to Corporates, SOE's etc and Credit Risk Management. Worked on Qmetry or other testcase management
implementation and optimisation of credit and operational risk models (Basel II regulatory capital models clients in the banking and insurance industries Credit risk and operational risk evaluation, including qualitative experience Competent in SAS, SQL or VBA Ideally a Credit Risk or Financial risk background Banking or financial financial exposure preferable Knowledge: Building credit risk models including scorecard development Regulatory models Understanding of credit life cycle Banking knowledge and exposure Market Risk and Financial Modelling
implementation and optimisation of credit and operational risk models (Basel II regulatory capital models clients in the banking and insurance industries Credit risk and operational risk evaluation, including qualitative experience Competent in SAS, SQL or VBA Ideally a Credit Risk or Financial risk background Banking or financial financial exposure preferable Knowledge: Building credit risk models including scorecard development Regulatory models Understanding of credit life cycle Banking knowledge and exposure Market Risk and Financial Modelling
years of experience
and forecasts based on financial data Prepare credit risk assessment reports and make recommendations to compliance with credit policies and guidelines Monitor loan portfolios for compliance and risk assessment experience Strong knowledge of financial analysis, credit risk assessment, and credit evaluation methodologies related field Professional certifications in credit analysis or risk management are a plus Experience in the
Reporting skills Customer service Matric 3 years in Credit Risk assessment Advanced EXCEL skills Knowledge of
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informed investment decisions and managing the credit risk of the firm's portfolio. Your responsibilities portfolio and proactively identify potential credit risks or issues Collaborate with other teams within financial markets, investment analysis, and credit risk management Excellent analytical skills and attention