My client is currently seeking a Product Risk Team Lead to join their Johannesburg office. This is a rare opportunity to lead a growing team, contribute to global reporting standards, and collaborate with international stakeholders across trading, risk, and IT functions. Youll be empowered to make a real impact, work with world-class systems (including CTRM), and be part of a culture that values...
One of the TOP banks in S.A. is seeking an experienced Regulatory Reporting Analyst to join their JHB team on a 5-6 month contract. Qualifications and experience: No less than 2 - 4 years' relevant experience in banking / financial services Matric Relevant degree / advance diplomas - Financial Management Qualified CA - bonus Financial risk management qualification Clear criminal...
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...
A giant JSE-listed listed organisation is looking to employ a Credit Risk Analyst to monitor and diagnose benchmarks and trends across financial data, systems and processes. The purpose of this role is to provide data-driven and quantitative analysis that informs credit risk management strategies and processes across the credit life cycle. The focus of this role will be on Account...
- 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...
Risk Analyst Reporting Officer- Sandton - Johannesburg- Job Family- Risk, Audit and Compliance- Career Stream- Enterprise Wide Risk Management- Leadership Pipeline- Manage Self: Technical Job Purpose- To analyse and monitor data to minimise operational risk and ensure governance in the achievement of business needs Responsibilities: - Analyse data sets to identify trends and gaps; escalate...
Are you ready to join a dynamic team dedicated to safeguarding our company’s assets and ensuring a fair and secure gaming environment? Our client is seeking passionate and hard-working individuals to become part of their growing family. As a Casino Risk Specialist in Johannesburg, you’ll play a vital role in protecting their corporate assets by identifying and preventing fraudulent behavior....
TransUnion's Job Applicant Privacy Notice What We'll Bring:As part of the Operational Risk and Resilience team and reporting to the Operational Risk Manager, the role holder will be responsible for establishing, maintaining and managing a reporting framework to support the monitoring and management of operational assurance activity for TransUnion UK. What You'll Bring:Core Duties /...
Our client, a leading institution in the Banking Industry, is seeking a skilled and analytical Assets and Liability Management (ALM) Risk Analyst to join their performance-driven team. If you meet the qualifications outlined below, we invite you to submit your CV for consideration Responsibilities: Supervision - Review and evaluate insurance firms’ ALMframeworks and reports and their ability...
The Energy Risk and Accounting Analyst will play a key role in managing financial and operational risk reporting across the energy portfolio. The role involves analysing complex energy data, supporting risk measurement frameworks, ensuring accounting accuracy, and delivering actionable insights to management. The successful candidate will bridge finance and energy operations by providing...
Asset Risk & Residual Value Analyst Area: Bryanston, Sandton Package: R30 000 (negotiable) including provident fund, medical aid, group risk cover, with optional Vitality and Gap Cover. Purpose of the Role To maximize profitability and manage risk across the asset life cycle by analyzing residual values, forecasting asset performance, and implementing end-of-term strategies in alignment with...
Job Description Requirements: •Bachelor’s degree in Mathematics, Statistics, Finance, Actuarial Science, Financial Engineering, Investment Management, Risk Management, Econometrics or a similar field, with majors in Mathematics, Statistics or Risk Management. •Three to five years’ relevant work experience in the asset management industry or another financial field, with at least two years’...
Description The Risk Analyst will serve as a critical member of the Strategic Assurance team, reporting directly to the Head of Strategic Assurance. While the immediate priority involves leading the bank's Risk Data Aggregation and Risk Reporting (RDARR) programme as the designated Subject Matter Expert (SME), this role encompasses broader risk management responsibilities to ensure comprehensive...
Job Overview: The purpose of this position is to assess, monitor, and manage market risk exposures in alignment with the organization’s risk tolerance. Responsibilities: - Analyse, assess, and evaluate financial, market, and business information to report on market risks. - Facilitate informed decision-making on foreign exchange, gold, and other fixed-income reserve portfolios. - Prepare and...
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...
Qualifications and Experience Required: - Matric plus Bachelors Degree Actuarial Science, Mathematics, Statistics, Finance, Econometrics, Quantitative Risk or a related field. - 4-6 years of experience in ALM, Financial Risk Management or Treasury - Proficiency in statistical software and programming languages (e.g., R, Python, or similar). - Understanding of financial markets, instruments, risk...
The overall purpose of the job is to assess and mitigate risk by carrying out a comprehensive and quality credit risk function by analyzing the client’s business, financial statements, and management accounts in order to provide a recommendation on new accounts and existing accounts annually. · Record new account information in the new accounts register within 3 hours of receipt of documents; ·...
Description As a Credit Quantitative Risk Analyst, you will play a vital role in analysing credit data, developing credit models, and supporting credit risk management processes. Your responsibilities will involve quantitative analysis, risk modelling, and providing insights to optimise lending practices. You’ll work closely with senior analysts and contribute to the bank’s credit risk...
Overview Description Hire Resolve’s client, a leading financial technology company, is urgently seeking a Senior Risk Analyst Team Lead to join their team in Johannesburg. In this role, you will be responsible for leading a team of risk analysts and overseeing the implementation of risk management strategies and procedures. You will work closely with stakeholders to identify risks, analyze...
Job Family- Investment Banking- Career Stream- Market Risk- Leadership Pipeline- Manage Self: Professional Job Purpose- To provide high quality, timely, independent and objective market risk analysis and reporting in order to ensure that risk taking is within the defined risk appetite, in line with the business strategy.Responsibilities: - Contribute to a culture conducive to the achievement of...