Live opening · Posted 5 days ago
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About the role
Description supplied by the original job listing.
To prepare, collate, design and develop complex risk reports to enable the Risk team to provide high quality reporting to key stakeholders according to set deadlines. To manage portfolio risk and concentrations within the Retail environment to ensure the portfolio remains within the risk appetite. To support Portfolio Manager with the scored lending strategy.
Type of Qualification: First Degree
Full Grade 12 Certificate with a minimum of 5 Credits.
Field of Study: Relevant Quantitative or Business Related Degree
Experience Required
Portfolio Risk Management
1-2 years
Experience in report writing and risk management
1- 2 years experience in data analytics, reporting, credit risk, banking, or a related analytical role.
Systems and Technology
1 - 2 years experience
Advanced Microsoft Excel skills and other Microsoft tools
Proficiency in SQL, Power BI,
Behavioural Competencies:
Articulating Information
Checking Things
Establishing Rapport
Examining Information
Following Procedures
Interacting with People
Interpreting Data
Managing Tasks
Producing Output
Showing Composure
Team Working
Upholding Standards
Technical Competencies:
Data Quality
Quality Orientation
Risk Awareness
Understanding of banking products and lending processes.
Knowledge of credit policy and risk appetite frameworks.
Portfolio monitoring and performance analysis.
Written Communication
Employment type
Full-time
Work arrangement
No
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