possess an Undergraduate Degree in Finance/Actuarial Science/Accounting/Mathematics or similar field with 2 – Undergraduate Degree in Finance, Actuarial Science, Accounting, Mathematics, Statistics, Information
basis. Matric B Com Degree in Actuarial Science, Mathematics , Accounting, Insurance, Risk Management or
basis. Matric B Com Degree in Actuarial Science, Mathematics , Accounting, Insurance, Risk Management or
Purpose of the role:
To manage credit risk by way of identifying, quantifying, and reporting on various forms of credit risk (e.g. pricing, volatility, and interest rate risk). To conduct ongoing research and understanding of financial markets to understand trends and risks