Description:
Advance Your Career: Credit Analyst – Investment ManagementAre you a skilled financial professional with a strong foundation in credit analysis and a passion for driving investment strategies? If you have 2–7 years of experience in commercial credit and want to contribute to shaping investment decisions in a dynamic environment, this opportunity is for you!About the Company
Our client is a trailblazing investment manager with a proud history as South Africa’s first Black female-owned and managed Investment Manager. Since 2009, they’ve built a reputation for delivering sustainable wealth creation and fostering socio-economic change. Their investment philosophy is rooted in their core values of Competence, Character, Chemistry, and Courage , ensuring excellence in every aspect of their work.Key Responsibilities
- Build, enhance, and maintain the credit risk process.
- Monitor domestic and global markets to assess their impact on investments.
- Manage credit risk through sector research, mandate compliance, and risk reporting.
- Present credit views and strategies to inform investment decisions.
- Oversee credit exposure in portfolios post-investment.
- Conduct company visits, credit reviews, and update reports.
- Assist in credit approval processes and write client market reports.
Qualifications and Experience
- Bachelor’s degree in Accounting, Finance, Economics, or Financial Analysis (or equivalent).
- CA or CFA designation preferred.
- 2–7 years of experience in listed and unlisted credit analysis, structured credit, project finance, or securitization transactions.
- Advanced Excel skills with proficiency in large datasets and pivot tables.
- Familiarity with Bloomberg, Reuters, and portfolio management systems.
- Experience in investment teams and credit recommendations is advantageous.
Competencies
Deal Sourcing & Management- Source and manage deal pipelines, pre-screen transactions, and oversee due diligence and financial structuring.
- Lead credit research, pricing, and approval processes.
- Maintain and enhance credit risk frameworks and compliance systems.
- Monitor portfolio exposure and maintain credit dashboards and databases.
- Stay updated on regulatory changes and ensure adherence to policies.
- Implement controls to mitigate compliance risks.
Why Join This Team?
- Be part of a purpose-driven investment manager committed to innovation and socio-economic impact.
- Collaborate with a team of forward-thinking professionals in a supportive environment.
- Access opportunities for professional development and growth.
- Enjoy a competitive compensation package aligned with your expertise and contributions.
How to Apply
If you’re ready to advance your career and make a mark in reinsurance finance, we’d love to hear from you! Please submit your CV and cover letter to cpietersen@communicate.co.za .Take this step to redefine your professional future and help shape the landscape of reinsurance.
Apply now and make an impact!
Requirements:
- Build, enhance, and maintain the credit risk process.
- Monitor domestic and global markets to assess their impact on investments.
- Manage credit risk through sector research, mandate compliance, and risk reporting.
- Present credit views and strategies to inform investment decisions.
- Oversee credit exposure in portfolios post-investment.
- Conduct company visits, credit reviews, and update reports.
- Assist in credit approval processes and write client market reports.
- Bachelor’s degree in Accounting, Finance, Economics, or Financial Analysis (or equivalent).
- CA or CFA designation preferred.
- 2–7 years of experience in listed and unlisted credit analysis, structured credit, project finance, or securitization transactions.
- Advanced Excel skills with proficiency in large datasets and pivot tables.
- Familiarity with Bloomberg, Reuters, and portfolio management systems.
- Experience in investment teams and credit recommendations is advantageous.
- Source and manage deal pipelines, pre-screen transactions, and oversee due diligence and financial structuring.
- Lead credit research, pricing, and approval processes.
- Maintain and enhance credit risk frameworks and compliance systems.
- Monitor portfolio exposure and maintain credit dashboards and databases.
- Stay updated on regulatory changes and ensure adherence to policies.
- Implement controls to mitigate compliance risks.
- Be part of a purpose-driven investment manager committed to innovation and socio-economic impact.
- Collaborate with a team of forward-thinking professionals in a supportive environment.
- Access opportunities for professional development and growth.
- Enjoy a competitive compensation package aligned with your expertise and contributions.
30 Mar 2025;
from:
careers24.com