their team. If you are a specialist in the field of economic and market risk analysis, this opportunity Performance Areas: Proactively perform economic and risk analysis activities, and produce thought leadership in monitoring and analysing economic and market risk activities, locally and internationally; Conduct research and provide advice on economic and market risk matters; Participate in financial sector industry outlook, macro-economic variables, capital markets and risk related issues, as well as exposure to competition
focused on quantitative valuation and financial risk analysis. You will collaborate with seasoned capital market experts, honing your skills to become a specialist in the field. Job Description: Leading projects valuation and risk analysis services to banking and financial clients Review and assess market risk techniques processes for clients Support projects on Interest Rate Risk in the Banking Book (IRRBB) and the Fundamental Book (FRTB) Contribute to Liquidity Risk and Counterparty Credit Risk projects, including framework review
Inventory and Risk Manager - FMCG A new and exciting opportunity opened up for an Inventory and Risk Manager
The position is responsible for promoting risk and regulatory compliance by identifying, quantifying reviewing, evaluating, and measuring risk to ensure that all risk categories are identified and managed compliance and audit requirements, approved risk tolerance, risk appetite, and strategic plans. Ensure the organization maintains an adequate and effective risk management program. Maintain an effective and “ready Continuity Plan. Risk Policies and Processes - Regular review and update of all risk policy and process
(proposals, comparisons, and quotation) for presentation to clients. Provide the specialist advice in respect of and Critical Cover) needs. This will include specialist areas such as Estate Planning (in conjunction
Our client, a leading national Special Risks Underwriting Manager is seeking to employ a Underwriting underwriting and profitability of their portfolio. Approve risk selection within the boundaries of the specific specific product line. Quote, accept and renew risks within the agreed guidelines of the service level agreement brokers on all product lines. To assist in placing risks that falls outside of the scope of our treaty reinsurance claims information impacts on underwriting). Basic risk assessment knowledge (understand the assessment
"investments and financial services industry" requires a Risk Consultant for the KZN branch. This position is (proposals, comparisons, and quotation) for presentation to clients Provide the specialist advice in respect of and Critical Cover) needs. This will include specialist areas such as Estate Planning (in conjunction
"investments and financial services industry" requires a Risk Consultant for the KZN branch. This position is (proposals, comparisons, and quotation) for presentation to clients Provide the specialist advice in respect of and Critical Cover) needs. This will include specialist areas such as Estate Planning (in conjunction
currently looking to employ a Financial Advisor (Risk Products) . To provide and implement advice in respect (proposals, comparisons, and quotation) for presentation to clients. Provide the specialist advice in respect of and Critical Cover) needs. This will include specialist areas such as Estate Planning and Business Assurance
The Risk and Compliance Managers will introduce standards, methodology and best practises relevant to operational, strategic, social, environmental, governance risks to the organisation. Develop and maintain country corporate risk register and develop and maintain park/department specific risk registers. Develop risk mitigation the use of policies and procedures. Risk Awareness and Training Risk Verification and Compliance within Create risk and compliance awareness by reporting on Environmental, Social and Governance risk Environmental