Manager, Non-Financial Risk Governance and StandardsJohannesburgZAR 200000 - 300000Job OverviewBusiness Segment: Group FunctionsLocation: ZA, GP, Johannesburg, Baker Street 30To lead the development of the Group Non-Financial Risk framework and policies through technology, tools, and data in partnership with NFR portfolio heads and risk type heads across the group. Act as a subject matter expert and specialist in providing guidance on the NFR framework and policy adoption and applicability.Key ResponsibilitiesAct as an interface for NFR in driving non-financial risk management and liaising with NFR teams on risk threats and controls in business strategy for all business units across all segments and channels.Act as the trusted risk management business partner by equipping business with the tools to mitigate financial, reputational, and regulatory impact of NFR incidents.Build and maintain credible relationships with internal and external stakeholders, including management, internal and external audit, non-executives, regulators, as well as peers in local and international banks where applicable.QualificationsMinimum QualificationsFirst Degree in Business Commerce or Risk ManagementPreferred: Postgraduate in Business Commerce or Risk ManagementExperience Required3-4 years of practical knowledge and experience under Operational Risk, which includes an understanding of the Standard Bank Group (SBG) Non-Financial Risk Framework and Policy or industry exposure to similar standards such as the Basel Sound Principles of Operational Risk Management.5-7 years of practical knowledge of risk, control frameworks, assurance & applications in the financial services industry. Fully conversant in risk appetite, risk response & process improvement concepts. Understand both non-financial risk and financial reporting risk characteristics.
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