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Risk Manager Ii

Risk Manager Ii

Fnb South AfricaJohannesburg, Gauteng, South Africa
1 day ago
Job description

Job listings (sanitized) :

Financial Risk Analyst

Location : Sandton, Gauteng

Salary : R - R

Employer : On Point HR & Talent Solutions

Posted : today

Job Description

The Financial Risk Analyst will support the Financial Risk Manager and Residual Value Asset Manager on all areas of execution within the Financial Risk Management portfolio across Retail, Wholesale, and Fleet products. Responsibilities include data collection and analysis to form trends and future value data, with the goal of informing models and assumptions about the second-hand car market. The role may include some administrative functions related to termination of contracts and selling assets. Oversight of Credit Risk Management input, challenge to inputs and results, and understanding of credit models and macroeconomic effects. Development of in-house models to examine other risk types including residual value risk. Delivery of credit risk analytics to support strategies and decision making, and production of financial risk management reports and analytics to support risk and finance decisions. Support on other financial risks (Interest rate risk, Liquidity risk, Earnings risk, Shareholder risk).

Qualifications

  • Degree in a quantitative discipline such as Quantitative Finance, Mathematics, Statistics or equivalent, or other relevant financial degree.

Experience

  • Minimum 2 - 4 years of relevant experience in a quantitative role
  • Vehicle asset finance or banking experience advantageous
  • Data extraction from established databases
  • Creation / maintenance of Excel-based models
  • Analysis of data to minimise potential financial losses
  • Risk analysis and mitigation recommendations
  • Analysis, reporting, and presenting to stakeholders
  • Cross-functional collaboration
  • Customer excellence in interactions
  • Continuous process improvement
  • Personal development activities
  • Administrative support (e.g., meeting minutes)
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    Senior Risk Manager : Risk Governance and Portfolio Management (18-months Fixed Term Contract)

    Location : unspecified

    Job Description

    Responsibilities include portfolio management and reporting within the organisation. Qualifications mention CFA as an added advantage; experience in Credit Risk / Finance / Investment Banking (CE8-10 years) and knowledge of credit risk / regulatory requirements. The description lists duties such as trend analyses, proactive credit monitoring, regulatory reporting, policy development, and governance activities across risk management portfolios.

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    Risk Manager • Johannesburg, Gauteng, South Africa