Key Responsibilities :
- Managing asset life cycles to maximize secondary profits and mitigate risk exposure
- Reviewing contracts and deal structures to ensure commercial viability
- Conducting detailed financial modelling and forecasting to support strategic decisions
- Collaborating with internal teams and clients to develop tailored asset strategies
- Driving profitability through end-of-term planning, settlements, and client engagement
Requirements :
A BCom in Finance, or a related quantitative disciplineMinimum 3 years experience in asset management, pricing, or risk within financial servicesAdvanced Mathematics and Spreadsheet Modelling expertiseProven ability to build and interpret complex financial modelsProficiency in SAP and Excel, with strong command of data manipulation and reporting toolsExceptional pricing and risk analysis skillson par with a Data Scientists analytical mindsetCommercial acumen, stakeholder engagement skills, and a sharp eye for detailThis is a high-impact opportunity for someone who thrives in data-rich environments and understands the nuances of asset risk and profitability. Youll be at the intersection of strategy, analytics, and client engagementmaking decisions that shape long-term value.