Job Title: Risk Management Analyst
Job Description:
Risk Management analyst is responsible for measuring, analyising, monitoring, identification of market and credit risk as it pertains to the business environment through the oriduction of snesitivity, simulation, stress testing, scenario analyses and optimisation modelling.
Responsibilities
Familiarise herself/himself with policies, manuals and internal documentation, as well as management models pertaining to market credit risk.
Implement and effective modelling environment to promote and control the data quality, sound development, implementation and use of the models as well as the validation and testing of such models.
Ensureimplemented models are functioning effectivelyand assess performance over time as conditions and model application change.
Produce clear and comprehensible reports and socumentation to aid in effective business decision making.
Post graduate will be a distinct advantage
Competencies
Proficient analytical, statistical and mathmethical knowledge and skills.
Familiarise herself/himself with policies, manuals and internal documentation, as well as management models pertaining to market credit risk.
Implement and effective modelling environment to promote and control the data quality, sound development, implementation and use of the models as well as the validation and testing of such models.
Ensureimplemented models are functioning effectivelyand assess performance over time as conditions and model application change.
Produce clear and comprehensible reports and socumentation to aid in effective business decision making.
Qualifications:
Bachelor’s DegreePost graduate will be a distinct advantage
Requirements:
Minimum 3 years experience in a mathematical modeling environmentCompetencies
Proficient analytical, statistical and mathmethical knowledge and skills.
How to apply:
Interested and qualified candidates should send CV to HRcareers@pagemfbank.com
Closing date: 19th August, 2016
No comments:
Post a Comment