Senior Credit Risk Analyst

3 weeks ago


Pretoria, South Africa South African Reserve Bank Full time

-The main purpose of this position is to provide specialist knowledge in risk analysis and financial market research in the Risk Management Unit of the Financial Markets Department (FMD) at the South African Reserve Bank (SARB).
-Detailed Description

Formulate, evaluate and review the financial risk and reserves management policies and processes of the SARB.
- Build and formulate complex risk models for calculating the risks associated with counterparties, portfolios and particular trades or strategies in order to define the appropriate limits for different counterparties and portfolios in line with the SARB’s market risk appetite.
- Conduct credit risk monitoring and measurement for the SARB’s investment portfolios.
- Propose new strategies and/or methodologies for managing financial risks, and ensure that the methodologies applied comply with local and international standards and reflect best practice internationally.
- Conduct portfolio reviews for the SARB’s internal and external portfolio managers, and give monthly, quarterly and ad hoc presentations to the SARB’s Reserves Management Committee and Financial Markets Risk Management Committee.
- Represent the SARB at official external senior forums, meetings, conferences and seminars, when required.
- Define and set out the learning agenda for FMD’s risk management team.
- Provide job-related coaching, and facilitate training programmes for risk analysts in order to guide them through their roles and functions of the business area and FMD.
- Supervise risk analysts on key projects, perform project-based performance appraisals for team members, and provide input into the overall performance evaluations.
Job Requirements

an Honours degree or equivalent, in Commerce or Science, with specialisation in Risk Management, Mathematics, Statistics, Finance related field,
- at least eight to ten years of relevant work experience in market risk management, with at least three years of work experience in a treasury, capital and/or financial markets environment; and
- good knowledge of fixed income instruments.
Additional requirements include:

problem-solving and analytical skills;
- conflict management skills;
- communication skills (verbal and written);
- presentation skills;
- proficiency in Microsoft Office products;
- interpersonal skills;
- networking and stakeholder management skills; and
- being a team player.
The following would be an added advantage:

project management skills;
- a qualification as a Chartered Financial Analyst (CFA), a certificate in Investment
Performance Measurement (CIPM), a certificate in Professional Risk Management (PRM) and/or a qualification as a Financial Risk Manager (FRM)
-How To Apply

All interested parties are invited to apply.
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- Select the appropriate IRC number to view the full advertisement.

The SARB offers remuneration and benefits commensurate with the level of the position and in line with the market. The level at which the successful applicant will be appointed will depend on his/her experience and competence.

Ms Zani Mashinini

Divisional Head: Centres of Excellence

Human Resources Department
Currency
-ZAR
-Amount of Travel
-Work At Home


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