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
Financial Services Company requires a Credit Risk Portfolio Manager to join their team and be responsible for for assessing, analysing, and mitigating credit risks within the portfolio of lending products. Monitor identifying trends and potential risks, and recommending appropriate risk mitigation strategies. Preparing to senior management Managing model risk for the credit portfolio. Ensure the Credit Risk framework and to the development and implementation of credit risk strategy across the credit lifecycle. Implement
Financial Risk and Compliance Manager - Gauteng Job title: Financial Risk and Compliance Manager Purpose regulations, risk management methodologies, and developing and implementing effective risk mitigation strategies strategies. In your role as Risk Manager, you will have the responsibility of recognising, evaluating evaluating, and alleviating risks spanning every facet of our business. This encompasses legal and regulatory not limited to: 1. Risk Assessment and Identification: · Conduct comprehensive risk assessments to identify
Financial Risk and Compliance Manager - Gauteng Job title: Financial Risk and Compliance Manager Purpose regulations, risk management methodologies, and developing and implementing effective risk mitigation strategies strategies. In your role as Risk Manager, you will have the responsibility of recognising, evaluating evaluating, and alleviating risks spanning every facet of our business. This encompasses legal and regulatory not limited to: 1. Risk Assessment and Identification: · Conduct comprehensive risk assessments to identify
Financial Services Company requires a Governance Manager to lead their Sourcing and Supplier Department all documents Responsible for identifying and managing risk of deals Ensuring compliance with Supplier Governance BCom Degree Minimum 7 Years Sourcing and Governance Risk experience Must have good understanding of BBBEE essential Good Understanding of Supplier Relationship Management Salary Market Related
Financial Services Company requires a Governance Manager to lead their Sourcing and Supplier Department all documents Responsible for identifying and managing risk of deals Ensuring compliance with Supplier Governance BCom Degree Minimum 7 Years Sourcing and Governance Risk experience Must have good understanding of BBBEE essential Good Understanding of Supplier Relationship Management Salary Market Related
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
Financial Services Company requires a Credit Risk Portfolio Manager to join their team and be responsible for for assessing, analysing, and mitigating credit risks within the portfolio of lending products. Monitor identifying trends and potential risks, and recommending appropriate risk mitigation strategies. Preparing to senior management Managing model risk for the credit portfolio. Ensure the Credit Risk framework and to the development and implementation of credit risk strategy across the credit lifecycle. Implement
looking for Pricing Actuary to join their single risk pricing team in Johannesburg. This role would suit relationship with Underwriters and assist in change management (including training) when onboarding Underwriters Analyse and pricing of individual short tail single-risk accounts typically with complex features or high business planning, recalibration: Contribute and manage the annual planning (profitability) review of portfolio Specialty Insurance (including SCOR Syndicate). Manage and contribute to the annual capital model parametrisation
with risk owners and conduct regular risk assessments to identify potential enterprise level risks and internal control status and improvements to senior management