Description:
MAIN PURPOSE OF THE JOB
To conceptualise, structure, develop and manage/implement innovative funding mechanisms, structures and partnerships with government and private sector external stakeholders to establish new blended finance funds to support profitable growth of the Bank’s development and transformation reach.
To build and maintain effective relationships with fund partners and stakeholders.
Sourcing of grant and concessionary co-funding development funding lines in order to provide appropriate funding to support financing of development and transformation.
Implement the funds and manage fund operations.
Reporting on Fund impact.
Key Performance Areas
New Fund/ Business Development / Strategic Partnerships and Service Provider Management Lead the review and establishment of the memoranda of agreements for blended finance fund partnerships for the Bank. Where applicable represent the Bank, as an appointed Board Member/Steering Committee Member, on partner and/or Fund Investee Boards/Steering Committees and ensure: Regular attendance of board/steering committee meetings and important related meetings. Make serious commitment to participate actively in committee work. Stay informed about board or other steering committee matters, including sufficient preparation for meetings, reviews and comments on minutes and reports. Building and maintaining collegial working relationships with partners, clients and board/steering committee and management teams. Develop briefs and input technical criteria for bids for service provider panels. Actively manage and monitor the portfolio to ensure adequate implementation and service delivery in respect of fund services as well as services to beneficiaries. Manage the resolution of fund execution disputes and ensure the development of guiding principles where applicable and required. Management of the fund operations, reporting requirements for funds and funding lines Oversee fund execution queries and resolution of fund disputes. Review of grant disbursement drawdown requests for the Bank and other participating financial institutions. Develop and review fund process flows, fund brochures and marketing material. Develop and review training material, structuring and funding frameworks to support fund execution. Develop and review the reporting templates and fund performance progress reports. Review and preparation of monthly, quarterly and periodic DALRRD and stakeholder reports as agreed in the respective MoAs of the funds. Manage internal fund reporting requirements on a periodic basis (monthly, quarterly, annual and on adhoc basis). Manage reporting to National Treasury and on an adhoc basis to Portfolio Co
02 Jul 2025;
from:
gumtree.co.za