and Risk Manager - FMCG A new and exciting opportunity opened up for an Inventory and Risk Manager to
Reference: JHB000315-CLG-1 The Credit Risk Manager – origination and structuring, will assist the Credit appropriate credit and investment risk deal assessment processes. You will manage a team of Credit analysts to improvement of assessment processes and risk-enhancing mechanisms. Manage all aspects of the transaction inclusive
of certain personnel within the Risk Department. Effective Management of Control Room. Financial Management relationship between Operations and the Risk Department Managing losses, claims and shortages in conjunction
Icebolethu Group is currently in search of a Group Risk Manager, the successful incumbent will be responsible implementation of a risk and compliance framework for Icebolethu Group to effectively manage all risk exposures Management. Regulatory and Legal Frameworks. Risk Management and Compliance Policies, Strategies and Procedures business purposes. Risk Analysis & Reporting skills. Strategic Skills. Project Management and Planning
of certain personnel within the Risk Department. Effective Management of Control Room. Financial Management relationship between Operations and the Risk Department Managing losses, claims and shortages in conjunction
has 5 years' experience in internal audit, risk management and will work in partnership with the Directors and risk management engagements from start to finish Develop detailed audit and risk management plans presentations Supervise and mentor junior auditors and risk management staff Serve as the primary point of contact contact for clients during audit and risk management engagements Implement quality assurance processes to maintain technical advice and support to the audit and risk management team and clients Requirements: Professional
Reference: JHB000315-CLG-1 The Credit Risk Manager – origination and structuring, will assist the Credit appropriate credit and investment risk deal assessment processes. You will manage a team of Credit analysts to improvement of assessment processes and risk-enhancing mechanisms. Manage all aspects of the transaction inclusive
a Manager position within its Credit Risk and Capital Management team. This department's primary function specialist in auditing and developing credit risk models, the Manager will also provide assistance to the Senior in coding and automating models for finance risk management Education Honours or Masters degree in Mathematics language (SAS, Python or R) related to credit risk modelling Managed teams and/or coached and mentored junior
in the financial services sector is seeking a Risk Manager. The ideal candidate will have qualifications enhancing the automation and integration of risk management strategies, systems, and processes. - Enhance Enhance the automation and integration of risk management strategies, systems, and processes. - Plan, execute comprehensive risk reports and executive summaries for internal and external audiences. - Advise management on identifying identifying and quantifying risks. - Assist management in aligning risk exposure with the organization's
Prepare reports highlighting key risk metrics, trends, and recommendations Manage model risk for the credit Quantitative 3 - 5 years' experience in credit risk management Unsecured Consumer and SME Credit portfolio