is to develop and maintain long term financial models for the Group by providing accurate insights tailored order to support strategic planning and decision making for the Group which will drive key business initiatives Officer. Financial Modelling •Develop and maintain comprehensive financial models to support the equity planning, budgeting, forecasting, and decision-making processes for the Group. This includes international for the Group. •Build scenario based financial models to evaluate the potential impact of market dynamics
Analytics and Modelling Manager to be based in Sandton/Midrand. The Credit Analytics and Modeling Manager is is a modeling expert that applies a credit risk background in the telecommunication industry. The role statistical and modeling data. Model creation and Management. Development of models in multiple programming Telecommunications or credit risk. Experience in Credit risk modelling including IFRS9 is preferred.
Analytics and Modelling Manager to be based in Sandton/Midrand. The Credit Analytics and Modeling Manager is is a modeling expert that applies a credit risk background in the telecommunication industry. The role statistical and modeling data. Model creation and Management. Development of models in multiple programming Telecommunications or credit risk. Experience in Credit risk modelling including IFRS9 is preferred.
business mentors. Let your passion of helping others, make a positive impact on the lives of individuals, families
for the impairment and capital models (such as PD, LGD and EAD models) and using IFRS9 standards. You You have the chance to make a difference by providing input to the credit models. Education: Honours Degree risk model development or validating models. Model development experience in impairment models including including PD, LGD, EAD and IFRS9 model building experience. Economic capital model development. Experience with
for the impairment and capital models (such as PD, LGD and EAD models) and using IFRS9 standards. You You have the chance to make a difference by providing input to the credit models. Education: Honours Degree risk model development or validating models. Model development experience in impairment models including including PD, LGD, EAD and IFRS9 model building experience. Economic capital model development. Experience with
and Fine Art and Specie. RESPONSIBILITIES Test and maintain pricing tools Ensure pricing models are appropriately Syndicate). Manage and contribute to the annual capital model parametrisation process (Underwriting / Premium conjunction with Group Risk Management, Capital Modelling Team, and Underwriters. Development and maintenance manage a small team of Pricing analysts and/or Cat modellers within few months after the hiring if the situation Market) Working knowledge of pricing ,capital modelling and reserving processes and techniques. Strong
and Fine Art and Specie. RESPONSIBILITIES Test and maintain pricing tools Ensure pricing models are appropriately Syndicate). Manage and contribute to the annual capital model parametrisation process (Underwriting / Premium conjunction with Group Risk Management, Capital Modelling Team, and Underwriters. Development and maintenance manage a small team of Pricing analysts and/or Cat modellers within few months after the hiring if the situation Market) Working knowledge of pricing ,capital modelling and reserving processes and techniques. Strong
identify investment opportunities, evaluate risks, and make informed investment decisions. You will also be monitoring market trends, conducting financial modeling, and preparing investment reports and presentations macro-economic variables and trends for investment decision making inputs. Communicate your insights, findings and universe, build, and monitor portfolio optimisation model - make recommendations that improve credit portfolio market portfolio management implementation, updating models and trading. Requirements: Bachelor's degree in
identify investment opportunities, evaluate risks, and make informed investment decisions. You will also be monitoring market trends, conducting financial modeling, and preparing investment reports and presentations macro-economic variables and trends for investment decision making inputs. Communicate your insights, findings and universe, build, and monitor portfolio optimisation model - make recommendations that improve credit portfolio market portfolio management implementation, updating models and trading. Requirements: Bachelor's degree in