the bank's portfolio of lending products Monitor the performance of banks credit portfolios Identify trends trends, and recommendations Manage model risk for the credit portfolio Drive RDARR compliance Contribute and implement credit risk strategy Ensure that business lending plans deliver against expectations Review Review and provide input to budgets, business cases, new credit products, pricing, target market criteria EAD and LGD for impairment and capital in the portfolio Implement and monitor credit limit increase and
Financial Services Company requires a Credit Risk Portfolio Manager to join their team and be responsible for risks within the portfolio of lending products. Monitor the performance of credit portfolios, identifying presenting reports to senior management Managing model risk for the credit portfolio. Ensure the Credit Risk increase and decrease strategies on the existing portfolio to optimise profits. Ensure effective monitoring reporting for all products within the banks credit portfolio Matric / Grade 12 Tertiary Qualification - Bachelor's
Reference: JHB003138-RC-1 The purpose of the job is to manage the properties and provide leadership to ensure REQUIREMENTS: Tertiary qualification in Property Management related qualification preferred. 5-10 years' License required. 3 years' experience in staff management DUTIES: Financial: Ensure that the budgets are invoicing. Manage and report on vacancies and status thereof. Monthly reporting on the Portfolio's performance adjustments. Authorise deposit refunds and monitor and manage the deposit and refund process. Ensure that the
description PORTFOLIO MANAGER JOB DESCRIPTION PURPOSE OF THE ROLE: The Portfolio Manager [PM] for Solver and professional management of all Community Schemes [CLIENT] within his/her portfolio. The main objectives of the CLIENT per the management agreement between the CLIENT and SPS. Manage the relationship with the required laws and other governing the Property Management environment. Report on any financial challenges the specific rules applicable to the successful management and upholding of the required standards within
Our client is seeking a senior property portfolio manager. Property administration qualification and
Are you a seasoned Portfolio Manager looking for your next career move? An office family is currently be responsible for managing the global and local multi-asset investment portfolios of an existing book individual is required to contribute towards new business development, as well as identify opportunities strong working relationships with the Investment Management team i Johannesburg, Cape Town and London. The with existing and potential clients, as well as business introducers.
Principal Elements
will expertly maintain complete general ledgers, manage monthly bank and ledger reconciliations, and handle IFRS. They will also provide support to property managers, ensuring accurate financial reporting and compliance
and detail-oriented Portfolio Assistant to join their dynamic team. The Portfolio Assistant will work closely with portfolio managers to support the management and administration of client portfolios. This role opportunity to gain valuable experience in the wealth management industry and contribute to the success of our />
the bank's portfolio of lending products Monitor the performance of banks credit portfolios Identify trends trends, and recommendations Manage model risk for the credit portfolio Drive RDARR compliance Contribute and implement credit risk strategy Ensure that business lending plans deliver against expectations Review Review and provide input to budgets, business cases, new credit products, pricing, target market criteria EAD and LGD for impairment and capital in the portfolio Implement and monitor credit limit increase and
Financial Services Company requires a Credit Risk Portfolio Manager to join their team and be responsible for risks within the portfolio of lending products. Monitor the performance of credit portfolios, identifying presenting reports to senior management Managing model risk for the credit portfolio. Ensure the Credit Risk increase and decrease strategies on the existing portfolio to optimise profits. Ensure effective monitoring reporting for all products within the banks credit portfolio Matric / Grade 12 Tertiary Qualification - Bachelor's