Job Description
Minimum Qualification
1. A Bachelor's Degree in Commerce, Finance, Risk Management or related.
Minimum Experience
1. A minimum of 5 years’ experience in credit and or market risk management.
2. Understanding the SARB regulatory requirements relating to credit, market and equity investment risk
3. Proven understanding of legislation and regulations relevant to market and credit risk management and
accounting, which affect the business of the bank, e.g., IFRS, Forex regulations, etc.
4. Knowledge of the SARB regulatory requirements relating to credit and market risk.
5. Proven understanding of Basel and other capital management guidelines.
6. Working knowledge of Quantum, SAP and other risk systems.
7. Proficiency in using data analysis programming languages and tools such as SQL, R, Power BI, etc
Desirable Requirements
1. A postgraduate qualification specialising in Risk Management.
1. A Bachelor's Degree in Commerce, Finance, Risk Management or related.
Minimum Experience
1. A minimum of 5 years’ experience in credit and or market risk management.
2. Understanding the SARB regulatory requirements relating to credit, market and equity investment risk
3. Proven understanding of legislation and regulations relevant to market and credit risk management and
accounting, which affect the business of the bank, e.g., IFRS, Forex regulations, etc.
4. Knowledge of the SARB regulatory requirements relating to credit and market risk.
5. Proven understanding of Basel and other capital management guidelines.
6. Working knowledge of Quantum, SAP and other risk systems.
7. Proficiency in using data analysis programming languages and tools such as SQL, R, Power BI, etc
Desirable Requirements
1. A postgraduate qualification specialising in Risk Management.