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Specialist, Risk Reporting

Standard Bank Group

Johannesburg

On-site

ZAR 600,000 - 900,000

Full time

15 days ago

Job summary

A leading financial services group in Africa seeks a professional to oversee consolidated credit and risk portfolio reporting. The successful candidate will track performance alignment and support key decision-making committees with aggregated risk information. An ideal fit would have a postgraduate degree, 5-7 years in risk management, and strong analytical skills.

Qualifications

  • 5-7 years of experience in risk management.
  • In-depth understanding of risk management strategies and processes.
  • Experience in report writing and data analysis.

Responsibilities

  • Serve as primary originator of consolidated credit/risk portfolio reporting.
  • Track execution and performance alignment to relevant frameworks.
  • Provide comprehensive aggregated risk information for decision-making.

Skills

Data Analysis
Risk Awareness
Reconciliation Skills
Team Working

Education

Post Graduate Degree

Tools

MS Excel
MS Access
MS Word
Power Point

Job description

Company Description

Standard Bank Group is a leading Africa-focused financial services group, and an innovative player on the global stage, that offers a variety of career-enhancing opportunities – plus the chance to work alongside some of the sector’s most talented, motivated professionals. Our clients range from individuals, to businesses of all sizes, high net worth families and large multinational corporates and institutions. We’re passionate about creating growth in Africa. Bringing true, meaningful value to our clients and the communities we serve and creating a real sense of purpose for you.

Job Description

To serve as the primary originator of consolidated credit / risk portfolio reporting for Business Unit (BU) Risk across multiple countries/sectors/products/segments to support key decision-making committees with comprehensive aggregated risk information for BU strategy, performance measurement and decision making.

To track execution and performance alignment to relevant frameworks (e.g. Risk Appetite/CCAP/Stress Testing) to ensure alignment with the desired Credit risk profiles and alignment to high standards of practice in credit risk management across BU group.

Qualifications

Type of Qualification: Post Graduate Degree is preferred

Field of Study: Business Commerce, Risk Management

Experience Required

Credit Risk – BCB

Risk & Corporate Affairs

5-7 years

The role requires an in-depth exposure and understanding of risk management strategies, polices, processes and performance measurement and analysis. Experience in report writing, reconciliation skills including MS Excel, MS Access, MS Word and Power Point to access, combine and analyse multiple data sources preferred. Experience in the collation, aggregation, and analysis of large data.

Additional Information

Behavioural Competencies:

  • Adopting Practical Approaches
  • Establishing Rapport
  • Examining Information
  • Managing Tasks
  • Meeting Timescales
  • Producing Output
  • Providing Insights
  • Team Working

Technical Competencies:

  • Credit Delivery
  • Data Analysis
  • Risk Awareness
  • Risk Management
  • Risk Measurement
  • Risk Reporting
  • Risk/ Reward Thinking

Please note: All our recruitment processes comply with the applicable local laws and regulations.

We will never ask for money or any form of payment as part of our recruitment process. If you experience this, please contact our Fraud line on +27 800222050 or [email protected]
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