Description:
Key Responsibilities:
Run and analyse daily risk reports, including the desks P&L. Support enhancements to systems, processes, and reporting tools. Communicate risk results clearly to traders and senior stakeholders. Proactively identify anomalies, issues, and potential surprises in exposures. Collaborate closely with international risk teams on market insights and risk events. Present findings logically and concisely to senior management. Perform adâ??hoc analysis and additional duties as required.Job Experience and Skills Required:
Education:
Bachelors degree required. Preference for qualifications in Finance, Risk Management, Economics, Computer Science, or Engineering (Electrical, Mechanical, Chemical).Experience:
23 years experience in a similar analytical, risk, or trading environment is advantageous.Skills:
Strong Excel proficiency. Coding skills in Python and VBA preferred. Excellent verbal and written communication ability. Strong organisational skills and ability to work under pressure. High attention to detail, accuracy, and problemâ??solving capability. Ability to work both independently and within a team. Strong timeâ??management and multiâ??tasking skills. Apply now!For more exciting Finance vacancies, please visit:
19 Feb 2026;
from:
gumtree.co.za