firm is looking for a Risk Analyst to join their Risk team Job Description: The Risk Department is responsible ensuring that senior management understands the risk-reward ratio of the trading books. Responsibilities: Responsibilities: Calculate and run the desk's P&L and risk reports daily. Provide assistance with developing reflect them. Engage in regular discussions with Risk Managers. Present issues clearly and logically to requested. Qualifications: Bachelor's Degree (i.e. Risk Management, Finance, Computer Science, Engineering
develop and maintain the information technology (IT) risk and compliance frameworks, policies, processes, company's business continuity plans, and work with risk management and internal audit units to monitor IT reports to a Senior Manager: Technology Governance, Risk and Compliance Formal Education: This position requires in IT, compliance, or Internal/External Audit or risk management will be an advantage Experience: Minimum years experience in IT auditing or ICT governance, risk, and compliance in a medium to large organization
the leading global banks is looking for a Credit Risk Manager. The bank provides a wide range of financial investment, and financial needs. Through its overseas operations, they offer services such as corporate banking retail banking, trade finance, and treasury operations to clients across different regions, including corporate banking and treasury departments, including risk review of internal credit ratings and post-loan well as annual review and amendments to align with Group requirements. Key Performance Indicators for this
Legislative Universe for the entity With Drafting of the Risk Management Plans per relevant piece of Legislation Telecommunication industry is looking for a Junior Legal and Risk Analyst. This role, you will gain valuable experience experience while providing critical support to our operations. We are a collaborative team where you will have
Assess, analyse, and mitigate credit risks within the bank's portfolio of lending products Monitor the portfolios Identify trends and risks, recommend risk mitigation strategies Maximise risk adjusted returns Prepare reports highlighting key risk metrics, trends, and recommendations Manage model risk for the credit portfolio cut-off strategies are in place Ensure the Credit Risk framework and credit policies are aligned to regulatory regulatory developments Develop and implement credit risk strategy Ensure that business lending plans deliver
organisation is seeking a highly skilled Manager of Risk Modelling and Credit Analysis to join their team comprehensive risk modelling framework and strategy to ensure risk models enhance business operations, contain contain and price risk losses, and optimise customer differentiation. Key Responsibilities: - Develop and and execute the risk and underwriting models strategy. - Lead and manage the risk modelling team. - Oversee
JHB000315-CLG-1 The Credit Risk Manager – origination and structuring, will assist the Credit Risk Executive with implementation of appropriate credit and investment risk deal assessment processes. You will manage a team around the improvement of assessment processes and risk-enhancing mechanisms. Manage all aspects of the investments to align with the businesses mandate, risk tolerance and strategic direction. Evaluate potential opportunities by performing detailed credit and risk assessments, financial analysis, and market research
NFP014379-AND-1 Unveiling the Financial Crystal Ball: A Credit Risk Analyst's Perspective. One of the biggest natural international footprint, is looking to recruit a Credit Risk Analyst within their Commodities division. This diverse team is responsible for offering credit risk advice, generating reports, and conducting macroeconomic The role entails meticulous examination of credit risk, continuous monitoring, and thorough evaluation both regular and spontaneous credit risk reports to the credit risk team and various internal and external
are seeking a highly skilled and experienced Audit Risk and Assurance Consultant to join our client's the efficiency and effectiveness of the firm's risk management, control, and governance processes.
Key
l>
Finance and Risk with Precision Are you a finance professional with a keen eye for risk management and looking for an experienced and dynamic Finance and Risk Manager to join our team and ensure our financial background in finance and risk management, we want to hear from you Position: Finance and Risk Manager Requirements: Minimum of 5 years of experience in finance and risk management Proven expertise in financial planning planning, analysis, and reporting In-depth knowledge of risk management principles and practices Strong understanding