Description:
Key responsibilities:- Prepare market risk reports covering counterparty credit risk, interest rate risk, and liquidity risk.
- Conduct quantitative financial risk management engagements, including foreign exchange, interest rate, credit, and commodity risks.
- Advise on capital markets processes, risk management, and derivative valuation.
- Lead and mentor junior staff in advisory and audit assignments.
- Identify business growth opportunities and contribute to research on evolving financial markets.
- Build trusted business relationships with clients and stakeholders.Qualifications & Experience:
- Minimum of 7 years experience in market risk analysis, financial services, or consulting.
- Strong background in finance, quantitative finance, engineering, mathematics, or statistics, with advanced or professional qualifications.
- Experience in working with financial institutions, regulators, or consulting environments.
- Proven ability to communicate effectively and build collaborative relationships.
02 Mar 2025;
from:
gumtree.co.za