Role Purpose To partner with stakeholders in order to provide trusted and valued risk management and compliance services that advances the business' strategy and achieves the appropriate balance between risk and reward. The Head of Credit Risk has the day to day responsibility for Shareholder Credit Risk and reports to the Head of Balance Sheet Management. In addition, this position oversees...
Introduction-- Join Momentum Group’s dynamic Balance Sheet Management team as a Corporate Credit Risk Analyst, where your expertise will help safeguard shareholder value through proactive credit risk assessment and portfolio management. This role offers the opportunity to engage with diverse corporate and public sector clients, conduct in-depth credit analysis, and contribute to strategic...
Delivering market risk and valuation analysis for banking and financial services clients Reviewing and assessing market risk methodologies, frameworks, and governance processes Supporting major regulatory initiatives such as Interest Rate Risk in the Banking Book (IRRBB) and the Fundamental Review of the Trading Book (FRTB) Contributing to projects covering liquidity risk and counterparty credit...
Overview An insurance company that has a particular interest in emerging markets in Africa is looking for a Quants Risk Analyst based in Centurion, Gauteng. The purpose of this role is to assist the Head of Risk in developing and maintaining an effective risk management framework for the Company that includes Enterprise Risk Management, Model development and validations, and investment...
Are you a detail-oriented professional with experience in credit management? AVBOB Financial Services is looking for a Credit Administrator to join our team. In this role, you will be responsible for assessing, processing, and monitoring credit applications while ensuring compliance with the Group's policies and risk management guidelines. You will be working for a company that is over 100 years...
The successful incumbent will be responsible for credit vetting of accounts in accordance with credit policy and FICA requirements to minimize risk and collections thereof.REQUIRED MINIMUM EDUCATION/TRAINING- Grade 12- Credit 3 qualification or equivalent financial qualificationREQUIRED MINIMUM WORK EXPERIENCE- 5 years credit control experience- SAP experience will be advantageousKEY PERFORMANCE...
Are you a quantitative finance professional with a passion for market risk, valuation, and regulatory-driven transformation? This opportunity allows you to work on complex risk challenges within the banking and financial services sector, applying advanced quantitative skills in a high-impact advisory environment. You'll join a specialist quantitative valuation and market risk team working...
Key Certifications (Preferred) - CAMS / CFE / FRM / CFA - Product Owner (PSPO / SAFe POPM) Core Requirements - Technical product management - AML, fraud, and credit systems - Regulatory and compliance knowledge - API-driven platforms Contract Type: - 5-month fixed-term contract Apply Now: As part of building the Clyrofor Workforce Hub , we are looking for highly qualified individuals....
A financial services provider in Midrand is seeking a professional to assess and optimize credit risk within existing investment portfolios. This role requires in-depth financial analysis and proactive strategies for risk mitigation. The successful candidate will engage with the Credit Origination team while focusing on the post-approval performance of investments. The position demands strong...
Job Description The purpose of this position is to supervise and regulate credit risks. Duties include reviewing strategies, policies, procedures and practices, Conducting research and providing input to the regulatory framework and more. Requirements: •An Honours Degree in Accounting, Finance, Risk Management or Banking •5-8 years relevant work experience in financial, banking or regulatory...
- 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...
1. Strategy Formulation and Implementation - Lead the formulation, execution, and continuous enhancement of an enterprise-wide risk management strategy that aligns with the Banks strategic objectives and developmental priorities. - Define, maintain, and embed a Risk Appetite and Tolerance Framework to guide strategic and operational decision-making across the organisation. - Provide strategic...
Our client is looking for a dynamic, results-driven Credit Control Manager to join the Finance team. The successful candidate will play a critical role in managing customer credit risk, improving cash flow, and supporting the companys working capital and profitability objectives. Responsibilities: Lead and manage Credit Control function across all regions and depots Develop and implement...
Overview The role is responsible for the origination and structuring of complex credit transactions across various sectors, e.g. infrastructure, sovereign, sub-sovereign, public sector projects for investment considerations in South Africa, the Rest of Africa and High Impact. This role is instrumental in ensuring that new transactions align with the DBSA’s mandate, risk appetite and strategic...
Job Location : Pretoria, Gauteng, South AfricaApplication Deadline : February 15, 2026 Duties and Responsibilities: Collections/Handover - Collections on outstanding accounts as per assigned aging. - Following protocol in line with Standard Operating Procedures when dealing with different aging buckets. - Receiving inbound calls/ ensuring outbound quality call quota is reached...
Overview The role is responsible for the origination and structuring of complex credit transactions across various sectors, e.g. infrastructure, sovereign, sub-sovereign, public sector projects for investment considerations in South Africa, the Rest of Africa and High Impact. This role is instrumental in ensuring that new transactions align with the DBSA’s mandate, risk appetite and strategic...
Brief description The main purpose of this position is to provide credit risk analysis in the Risk Management Section of the Financial Markets Department within the South African Reserve Bank (SARB). Detailed description- Analyse, assess, evaluate and report on credit risk, to facilitate informed investment decision making.- Contribute towards the formulation and implementation of policies...
Overview Hire Resolve, a renowned recruitment firm, is currently partnering with a leading Cosmetics Retailer to find a skilled Credit Controller for their team. As a Credit Controller in the Cosmetics Retail industry, you will play a crucial role in managing and overseeing the credit control processes, ensuring timely collection of outstanding debts from customers. This is an exciting...
In this senior role, you will lead end-to-end credit scoring initiatives, combining deep analytical expertise with strong commercial and client-facing capability. Youll oversee multiple engagements, advise stakeholders on credit risk strategy, and drive delivery excellence while developing high-performing analytical teams. This position sits at the forefront of credit risk modelling, regulatory...
Job Description The role is responsible for the ongoing assessment monitoring and optimisation of credit risk within the existing portfolio of investments across South Africa the Rest of Africa and High Impact. The role is critical to maintaining portfolio health through in-depth credit reviews financial analysis and proactive risk mitigation strategies. Applying technical and commercial...