Senior Manager, Credit Risk (Public Sector)Job OverviewBusiness Segment: Corporate & Investment BankingLocation: ZA, GP, Johannesburg, Baker Street 30To provide an efficient and effective credit origination, approval, and management process in respect of the allocated Corporate & Investment Banking portfolio. Develop and maintain co-operative relationships between all stakeholders in the CIB credit value chain, ensuring the appropriate, timely and effective management of the allocated portfolio (Public Sector).QualificationsPost Graduate Degree in Business Commerce, BSc in Engineering, or FinanceMBA qualification would be an advantage5-7 years thorough conceptual and practical knowledge of credit procedures, policies, and standards within Corporate & Investment Banking, as well as a thorough understanding of the bank's products and facilities that give rise to counterparty credit risk. Seasoned understanding of Basel and broader regulatory and compliance requirements.5-7 years understanding and working knowledge of risk systems monitoring and its related procedures for analyzing the account behavior of clients and identifying trends and shifts in credit risk profiles. Seasoned technical understanding of non-credit risks encountered within transactions. Knowledge of financial markets (Global and especially African economies).3-4 years seasoned understanding of lending and derivative products and facilities that give rise to counterparty credit risks, including the documentation required/presented to manage that risk.At least 5 years demonstrated experience in managing senior level stakeholders.3-4 years well-developed knowledge of financial markets, the global economy, and appropriate regional geographies in which the portfolio operates.Credit Risk experience in the Public Sector portfolio would be preferred.
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