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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.
Reporting to the Head Portfolio Management and Risk Reporting contribute to establishing a comprehensive portfolio management function. Perform global management of the BCB risk portfolios through deep and insightful Country and Sector research and provide meaningful evaluation results to inform risk appetite setting and towards optimising portfolio condition. BCB operates across South Africa, Africa Regions, and Offshore (Group) for the purpose of informing business and credit strategy decisions throughout the credit lifecycle.
Type of Qualification: First Degree
Field of Study: Mathematical Sciences
Experience Required
Credit Risk – BCB
Risk & Corporate Affairs
8-10 years
Must be able to produce detailed, automated and insightful reports and analyses to support informed decision-making. Experience in SAS, SQL, Python, and Power BI will be advantageous.
Behavioural Competencies:
Technical Competencies:
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