the bank's portfolio of lending products Monitor the performance of banks credit portfolios Identify trends trends, and recommendations Manage model risk for the credit portfolio Drive RDARR compliance Contribute EAD and LGD for impairment and capital in the portfolio Implement and monitor credit limit increase and reporting for all products within the banks credit portfolio Optimise customer payment strategies to prevent experience in credit risk management Unsecured Consumer and SME Credit portfolio experience Excellent communication
Financial Services Company requires a Credit Risk Portfolio Manager to join their team and be responsible for risks within the portfolio of lending products. Monitor the performance of credit portfolios, identifying presenting reports to senior management Managing model risk for the credit portfolio. Ensure the Credit Risk increase and decrease strategies on the existing portfolio to optimise profits. Ensure effective monitoring reporting for all products within the banks credit portfolio Matric / Grade 12 Tertiary Qualification - Bachelor's
will expertly maintain complete general ledgers, manage monthly bank and ledger reconciliations, and handle IFRS. They will also provide support to property managers, ensuring accurate financial reporting and compliance
the bank's portfolio of lending products Monitor the performance of banks credit portfolios Identify trends trends, and recommendations Manage model risk for the credit portfolio Drive RDARR compliance Contribute EAD and LGD for impairment and capital in the portfolio Implement and monitor credit limit increase and reporting for all products within the banks credit portfolio Optimise customer payment strategies to prevent experience in credit risk management Unsecured Consumer and SME Credit portfolio experience Excellent communication
Financial Services Company requires a Credit Risk Portfolio Manager to join their team and be responsible for risks within the portfolio of lending products. Monitor the performance of credit portfolios, identifying presenting reports to senior management Managing model risk for the credit portfolio. Ensure the Credit Risk increase and decrease strategies on the existing portfolio to optimise profits. Ensure effective monitoring reporting for all products within the banks credit portfolio Matric / Grade 12 Tertiary Qualification - Bachelor's
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This role forms part of the Investment Management Team based in the Johannesburg office and also relationships include general Relationship Managers, external investment managers and linked investment service providers is to support Portfolio Managers in Johannesburg to manage client investment portfolios by taking the views and preferred vehicles into account. The portfolio analyst will have a close working relationship IPAL ELEMENTS AND ACCOUNTABILITIES Portfolio Management
Cards Operations / Maintenance: Assistant to portfolio manager Placing orders Admin: Order stationary Office Office groceries Cleaning materials Property management experience MDA - Experience Excel Market related
Introduction Multi-national wealth management company entrusted with the management, fiduciary oversight and administration RELATIONSHIPS This role forms part of the Investment Management Team based in the Johannesburg office and also relationships include general Relationship Managers, external investment managers and linked investment service providers is to support Portfolio Managers in Johannesburg to manage client investment portfolios by taking the views and preferred vehicles into account. The portfolio analyst will have a close working relationship
industry is recruiting for an Insurance Management Product manager for a 6-12 month contract.
Your strategic leadership, industry expertise, and portfolio management to develop insurance products within a telecommunications skills
Champion Insurance Management Product Strategy Execution:
variance analyses and budget preparation. Provides managers with information necessary for decision-making needed to ensure an accurate statement of the portfolios financial position to the client and other stakeholders