Key responsibilities include analyzing and modeling credit and financial data for both existing and new credit assets managed within the Credit Portfolio Management function.
You'll also leverage your expertise in credit instruments to build, maintain, validate, and recalibrate internal models used to generate PDs, LGDs, economic capital metrics, and SAM capital metrics to guide investment decisions.
Key Responsibilities Perform quantitative credit investment analysis using Excel-based tools and Moodys RiskFrontier to assess capital and returns.
Develop and enhance internal ratings scorecards.
Conduct portfolio analysis to provide actionable insights for management and stakeholders.
Build financial models for structured loans, derivatives, and other credit instruments.
Qualifications and Experience B.Sc.
(preferably Honours) with majors in one or more of the following: Computer Science, Applied Mathematics, Mathematics, Statistics, Physics, or other Pure/Applied Science.
Alternatively, B.Com/B.Bus.Sci.
(preferably Honours) with majors in Actuarial Science, Operations Research, Finance, Economics, or Econometrics.
Key Competencies Professionalism and a proactive approach.
Strong planning, organizational, and analytical skills.
Exceptional attention to detail and affinity for data-driven tasks.
Problem-solving mindset.
Strong communication skills (both written and verbal).
Ability to work independently and as part of a team.
Commercial focus and client service orientation.
Resilience under pressure.
Take the Next Step in Your CareerApply Now Explore more Actuarial and Analytics opportunities at www.networkrecruitment.co.za .
If you havent heard back within two weeks, please consider your application unsuccessful.
However, we'll keep your profile on file for future opportunities that align with your expertise.
For more information, contact: Crushen Clive Pietersen Specialist Recruitment Consultant cpietersennetworkfinance.co.za