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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.
The main purpose of this role is to monitor Market risk for countries of responsibility to ensure managed within risk appetite. Also to ensure complete accurate and relevant risk reporting. In order to do this optimum use must be made of front office and reporting technologies, which also entails project work to drive the business forward.
Type of Qualification: Postgraduate Degree
Field of Study: Quantitative Finance / Actuarial Sciences / Finance Engineering / Financial Mathematics
Experience Required
1-3 years experience and knowledge of fixed income and forex Global Markets Products.
1-3 years experience Market Risk Management experience (Forex, Money Markets and Fixed Income).
Behavioural Competencies:
Technical Competencies:
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