client, within the insurance industry, as their Risk Manager. This role reports into the COO of the business ies:
Risk Manager Bellville
Our well-established client seeks a Risk manager Financial Risk Management / B. Com Risk Management
Minimum of 5 years of experience in Risk Management Responsibilities:
Risk Identification & Management
Risk Assessment
Risk Mitigation and Control
Risk Control
Risk Reporting
Incident Response and Crisis Management
Training and Awaren Improvement
Communication and Collaboration
Scenario Analysis
Please apply online
and expertise of an experience Risk Specialist - ERM / ORSA
Risk: Identification / Assessments
/ Crisis management / Training / Risk Analysis / Scenario Analysis / Technical influence in terms of
of IT systems and processes / Portfolio analysis icw risk and exposure /
Grade 12
B.
/>Financial Risk Management / B. Com Risk Management
5 years of experience in Risk Management within
you ready to take on an exciting challenge? As a Risk Management Specialist, you'll be at the forefront identifying, assessing, and mitigating potential risks across various business functions. You'll stay ahead emerging risks, implementing the cutting-edge Risk Management Framework (ERM) with thorough risk assessments pivotal in fostering a culture of risk awareness and prioritizing risks to drive the organization forward Responsibilities: Risk Mitigation and Control: Be the strategist behind effective risk mitigation. Develop
COMPLIANCE OFFICER (Investment Risk and Regulatory Management) – Claremont/Newlands, Western Cape, SA horizon scanning; Work closely with the Regulatory and Risk Manager and inform them of any potential regulatory policy and procedures; Assist the Regulatory and Risk Manager in his/her responsibilities as they relate nspamerselev8recruitment.co.za COMPLIANCE, OFFICER, Investment, Risk, and, Regulatory, Management, Claremont, Newlands
economic landscape and financial markets to highlight risks and opportunities Continuous monitoring, critical assessment & forecasting of macro-economic and geo-political variables/developments to provide input into the critical assessment of financial markets to highlight risks and opportunities to the portfolio manager, and etc. used by the portfolio manager. Assist with analysis of peers' asset allocation exposures. Reporting – 24 months experience in economic/econometric analysis (preferably)/investments and asset management
economic landscape and financial markets to highlight risks and opportunities Continuous monitoring, critical assessment & forecasting of macro-economic and geo-political variables/developments to provide input into the critical assessment of financial markets to highlight risks and opportunities to the portfolio manager, and etc. used by the portfolio manager. Assist with analysis of peers' asset allocation exposures. Reporting – 24 months experience in economic/econometric analysis (preferably)/investments and asset management
Software Solutions Provider specializing in Financial Risk systems seeks the expertise of a Financial Analyst Services Team where you will conduct new feature analysis and drive development on the platform (core product) & exposure to financial calculations and Data Analysis in a software environment. DUTIES: Analyse and frameworks. Exposure to financial calculations and Data Analysis in a software environment. Advantageous - C#/VB financial and investment products experience. Financial Risk Management from the perspective of a financial institution
pivotal role in the financial evaluation, analysis and risk assessment of new projects and opportunities credit reports, and payment history to evaluate risk levels and make informed credit recommendations >More than 5 years of experience in financial analysis, corporate finance, or related roles.
to company policies (e.g., minimum orders) in a polite and professional manner. Maintain a record of breakages policies. Interact with customers and third parties politely and with respect. Treat all staff members with