Risk Analytics & Modeling Analyst

Standard Bank Group

Johannesburg

On-site

ZAR 350,000 - 500,000

Full time

14 days+

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Benefits offered by this job

Comprehensive medical and dental cover
Retirement savings plan with employer"
Generous paid leave
Flexible working arrangements
Access to learning platforms

Job summary

Standard Bank Group in Johannesburg invites a Risk Management Analyst to join the Risk Management hub. You will support the development, monitoring, and reporting of credit and market risk metrics, ensuring strong governance and value delivery to customers and shareholders.

You will collaborate with cross-functional teams to enhance risk models, implement stress-testing frameworks, and provide actionable insights to senior management, while staying aligned with regulatory changes and risk

Qualifications

  • 3-5 years of experience in risk analysis, credit assessment, or related finance role in banking or financial services.
  • Bachelor’s degree in Finance, Economics, Mathematics, Statistics, or related field.
  • FRM or CFA certifications are advantageous but not mandatory.

Responsibilities

  • Analyze credit portfolios and market exposures to identify emerging risk trends.
  • Prepare daily, weekly and monthly risk reports for internal stakeholders.
  • Assist in development and validation of risk models and stress-testing frameworks.
  • Collaborate with business units to ensure risk policies are applied consistently.
  • Monitor regulatory changes and assess impact on risk profile.
  • Support implementation of risk mitigation strategies and ad-hoc risk projects.

Skills

Analytical skills
Excel
SAS/R/Python
Communication
Attention to detail
Team player

Education

Bachelor’s degree in Finance/Economics/Math

Tools

SAS
R
Python

Job description

Standard Bank Group in Johannesburg invites a Risk Management Analyst to join the Risk Management hub. You will support the development, monitoring, and reporting of credit and market risk metrics, ensuring strong governance and value delivery to customers and shareholders.

You will collaborate with cross-functional teams to enhance risk models, implement stress-testing frameworks, and provide actionable insights to senior management, while staying aligned with regulatory changes and risk

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