Conduct quantitative financial risk management engagements, including foreign exchange, interest rate, credit, and commodity risks.
Advise on capital markets processes, risk management, and derivative valuation.
Lead and mentor junior staff in advisory and audit assignments.
Identify business growth opportunities and contribute to research on evolving financial markets.
Build trusted business relationships with clients and stakeholders.
Qualifications & Experience:
Minimum of 7 years experience in market risk analysis, financial services, or consulting.
Strong background in finance, quantitative finance, engineering, mathematics, or statistics, with advanced or professional qualifications.
Experience in working with financial institutions, regulators, or consulting environments.
Proven ability to communicate effectively and build collaborative relationships.
If you have a strong technical background and leadership experience in market risk, this is a great opportunity to make an impact in a dynamic and evolving field. Please send your CV toShould you not hear from us within two weeks, please consider your application unsuccessful
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