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 EAD and LGD for impairment and capital in the portfolio Implement and monitor credit limit increase and reporting for all products within the banks credit portfolio Optimise customer payment strategies to prevent experience in credit risk management Unsecured Consumer and SME Credit portfolio experience Excellent communication
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
Property 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 PM will have comfortable in managing junior staff and must have a fair understanding of internal staff management and procedures and above the standard requirements of a portfolio manager, the PM’s main objectives will include: Maintain of the client per the management agreement between the CLIENT and SPS. Manage the relationship with the
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
NFU011273-Matt-1 Ready to join a dynamic property firm as a Portfolio Accountant? Look no further Job Description: This 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
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 EAD and LGD for impairment and capital in the portfolio Implement and monitor credit limit increase and reporting for all products within the banks credit portfolio Optimise customer payment strategies to prevent experience in credit risk management Unsecured Consumer and SME Credit portfolio experience Excellent communication
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
provide high-level financial planning and portfolio management support to the USAID COP and all cross-cutting grants and contract management and reporting, human resource planning and management, and support for infrastructure compliance reporting for the Implementation Science portfolio This includes being responsible for efficient they are sent out to the donor by the grants management team Conduct financial analysis, and risk assessment procedures, systems, and models, (e.g. grants management oversight model, indirect cost recovery model)
seeking an experienced BSc / BCom candidate with Management experience of 6 - 8 years' : Data analysis, coding Board of Directors and Group Audit Committee Risk management Improve internal controls Delivery of annual be conducted Profile BSc / BCom candidate with Management experience of 6 - 8 years' : Data analysis, coding Board of Directors and Group Audit Committee Risk management Improve internal controls Delivery of annual
NFU011273-Matt-1 Ready to join a dynamic property firm as a Portfolio Accountant? Look no further Job Description: This 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