Job Description
To develop & lead the Business and Commercial Banking ( BCB) Risk Portfolio Management & Assurance strategy across all client segments & geographies to analyse risks across all portfolios, leveraging insights & analytics across the risk lifecycle, to enable growth within the Board-determined risk appetite.
Develop the strategy & set direction to manage Risk Appetite, Risk Governance, Credit Risk Assurance (CRA), Insights & Analytics & Special Programmes (such as ESG & Climate Risk) to limit the risk exposure of the BCB business.
Qualifications
Type of Qualification: Post Graduate Degree
Field of Study: Finance and Accounting, Risk Management
Experience Required
Credit Risk - BCB
Risk & Corporate Affairs
More than 10 years
Experience in Credit risk, Non-financial Risk, and Country risk are important for this role. Coordination of aggregated Risk reporting across various risk functions, understanding each risk type and the impact thereof on the business and relevant reports.
More than 10 years
Expertise and experience in both risk management and reporting and communication at a portfolio level within a bank. Experience in dealing with the South African and other African Markets a requirement. Experience in presentations and report writing a requirement