optimize balance sheet management. Liquidity Risk Management: Analyze and monitor liquidity risk, ensuring Reporting: Prepare and present detailed risk reports to senior management, highlighting key insights and recommendations latest trends and best practices in ALM and risk management. Qualifications: Experience: 3-8 years of experience experience in ALM, with a focus on liquidity risk management. Basel Frameworks: In-depth understanding of Certifications: FRM (Financial Risk Manager) or PRMIA (Professional Risk Manager) certification. Analytical
/>Credit Risk Management
Implement sound credit risk management
Maintain
process
Maintain and enhance the credit risk policies
Manage the debtor days targets
/>
Governance and risk management
Effective People M
procedures, as well as oversee compliance. Duties: Risk Management Compliance Oversight Policy Development Monitoring Crisis Management Advisory Requirements: BCom Risk Management Minimum 2 years industry experience, preferably preferably in the insurance sector Insurance risk management and compliance standards Knowledgeable on the
procedures, as well as oversee compliance. Duties: Risk Management Compliance Oversight Policy Development Monitoring Crisis Management Advisory Requirements: BCom Risk Management Minimum 2 years industry experience, preferably preferably in the insurance sector Insurance risk management and compliance standards Knowledgeable on the
and coordinate all regional (Agriculture) Risk Management aspects and activities. Role Purpose: To direct direct and coordinate all regional ( Agric) Risk Management aspects and activities and the development Experience: A recognised tertiary qualification (eg risk management, NADSAM) SAMTRAC (or equivalent) Systems implementation understanding of internationally recognized risk management principles. Development of Thorough working knowledge and experience of Alexander Forbes Risk Management Standards. Key Responsibilities: Legislative
and coordinate all regional (Agriculture) Risk Management aspects and activities. Role Purpose: To direct direct and coordinate all regional ( Agric) Risk Management aspects and activities and the development Experience: A recognised tertiary qualification (eg risk management, NADSAM) SAMTRAC (or equivalent) Systems implementation understanding of internationally recognized risk management principles. Development of Thorough working knowledge and experience of Alexander Forbes Risk Management Standards. Key Responsibilities: Legislative
detail-oriented professional with a passion for risk management in the supply chain sector? Do you have a keen ratios to support decision-making and improve risk management strategies. Stakeholder Collaboration: Work Education: Bachelor's degree in Business, Finance, Risk Management, or a related field. Professional certifications insurance or risk management are a plus. Experience: Proven experience in insurance, risk management, or supply
detail-oriented professional with a passion for risk management in the supply chain sector? Do you have a keen ratios to support decision-making and improve risk management strategies. Stakeholder Collaboration: Work Education: Bachelor's degree in Business, Finance, Risk Management, or a related field. Professional certifications insurance or risk management are a plus. Experience: Proven experience in insurance, risk management, or supply
play a pivotal role in our organisation's risk management strategy. Your responsibilities will include: include: Counter-party Credit Risk Analysis: Assessing and managing the counter-party credit risk exposure Regulatory Compliance: Ensuring that our risk management practices align with industry regulations and field. 4 years extensive experience in market risk management, with a focus on counter-party credit and derivative understanding of financial markets, derivatives, and risk management concepts. Knowledge of regulatory frameworks
play a pivotal role in our organisation's risk management strategy. Your responsibilities will include: include: Counter-party Credit Risk Analysis: Assessing and managing the counter-party credit risk exposure Regulatory Compliance: Ensuring that our risk management practices align with industry regulations and field. 4 years extensive experience in market risk management, with a focus on counter-party credit and derivative understanding of financial markets, derivatives, and risk management concepts. Knowledge of regulatory frameworks