Description: REQUIRED QUALIFICATIONS AND EXPERIENCE: Qualifications: Chartered Accountant (CA) (SA)/ MBA or equivalent financial qualification is highly advantageous. Relevant certifications in financial modelling, restructuring, or project management. ...
a month ago
... management consulting firm is seeking a Credit Risk Quant Analyst (Manager Level) to join ... modelling. Participate in high-impact credit risk and capital management projects. ... 4 years experience in a quantitative credit risk role, ideally within consulting or ...
4 days ago
... refine, and validate credit risk models across the credit lifecycle (PD, ... amortising loans and revolving credit) Ensure that models meet ... least 3 years in credit risk modelling Strong working knowledge ... on high-impact credit risk projects across leading banks ...
25 days ago
... Key Responsibilities: Develop and review credit risk models for impairment (IAS 39 ... modelling. Participate in high-impact credit risk and capital management projects. Engage ... 4 years experience in a quantitative credit risk role, ideally within consulting or ...
a day ago
... for market and counterparty credit risk supervision across multiple financial ... , derivatives oversight, and investment risk evaluation. Mentor, inspire, and ... , specialising in market risk, investment risk, or counterparty credit risk. Minimum 2 years ...
25 days ago
... of market and counter-party credit risk supervision across key financial ... focus on market risk, investment risk, or counter-party credit risk At least 2 ... FMI regulation, derivative instruments, financial risk modelling, and supervisory frameworks (e.g., ...
25 days ago
... on the hunt for a Consultant - Credit Quantitative who thrives on challenge ... Doing: Design, enhance, and test credit risk models Deliver projects and assignments ... field 35 years experience in credit risk modelling, financial modelling, or advanced ...
25 days ago
... trading, and risk systems. Support clients with risk measurement and ... Solid understanding of Market Risk and Counterparty Credit Risk. Experience with programming ... languages (VBA, C#, SQL). Exposure to trading/risk ...
2 months ago
... head office on all legal credit control matters Managing legal account ... escalations Working closely with Regional Credit Controllers (indirectly reporting into you ... collection role Strong knowledge of credit risk, CGIC processes, and legal handover ...
2 months ago
Description: We are currently seeking a Credit Quantitative Consultant to join our ... working experience · Minimum of 3 years credit modelling experience · Good team player ... regulations and how they impact credit risk modelling and management · Strong SAS ...
15 days ago
Description: We are currently seeking a Credit Quantitative Consultant to join our ... working experience · Minimum of 3 years credit modelling experience · Good team player ... regulations and how they impact credit risk modelling and management · Strong SAS ...
15 days ago
Description: We are currently seeking a Credit Quantitative Consultant to join our ... working experience · Minimum of 3 years credit modelling experience · Good team player ... regulations and how they impact credit risk modelling and management · Strong SAS ...
15 days ago
Description: We are currently seeking a Credit Quantitative Consultant to join our ... working experience · Minimum of 3 years credit modelling experience · Good team player ... regulations and how they impact credit risk modelling and management · Strong SAS ...
15 days ago
... Sandton is seeking a talented Credit Analyst Corporate Credit to join their dynamic ... team with credit rating and pricing data collation Perform risk assessments on ... borrowers, buyers, and suppliers Screen and assess credit ...
29 days ago
... includes experts in credit, market, and treasury risk, financial instrument valuation ... depth knowledge of risk regulations and frameworks (Basel, IFRS9, credit, market, ... operational and liquidity risk) Strong proficiency in ...
19 days ago
... includes experts in credit, market, and treasury risk, financial instrument valuation ... depth knowledge of risk regulations and frameworks (Basel, IFRS9, credit, market, ... operational and liquidity risk) Strong proficiency in ...
25 days ago
... includes experts in credit, market, and treasury risk, financial instrument valuation ... depth knowledge of risk regulations and frameworks (Basel, IFRS9, credit, market, ... operational and liquidity risk) Strong proficiency in ...
25 days ago
... includes experts in credit, market, and treasury risk, financial instrument valuation ... depth knowledge of risk regulations and frameworks (Basel, IFRS9, credit, market, ... operational and liquidity risk) Strong proficiency in ...
25 days ago
... includes experts in credit, market, and treasury risk, financial instrument valuation ... depth knowledge of risk regulations and frameworks (Basel, IFRS9, credit, market, ... operational and liquidity risk) Strong proficiency in ...
29 days ago
... Analyse aging reports and identify risk trends. Present collection results to ... timelines). Drive continuous improvement in credit control systems and procedures. ... leadership experience. 4. Strong understanding of credit control processes and principles. 5. ...
3 days ago