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A leading company is seeking a Risk Manager to optimize secondary profits through thorough analysis and management of asset risks within a rental environment. The ideal candidate will possess a BCom in Finance and have at least five years of experience in Risk and Pricing. Strong financial acumen and excellent communication skills are essential, as the role involves managing relationships and crafting strategic pricing solutions.
To optimize secondary profits through analysing, determining and managing asset risks (including appropriate residual value), the asset life cycle and the end of term strategies within a rental environment in line with client behaviour
1. Effective risk and secondary profit management (maximum income potential)
2. Life cycle management of asset risk
3. Effective relationship management and communication skills
4. Effective team and self-management
5. Fashioning and constructing complex deal structures
6. Risk analysis and asset behaviour assessment / prediction
Education : Bachelor of Commerce (BCom) in Finance / Financial Management
Experience : Five years Risk, Pricing and Financial Modelling experience.
Ideally has Honours or postgraduate diploma in Risk Management, Investment Management, or Asset & Liability Management
Salary - market related
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