Job Description
Strong knowledge of risk management best practice, including information security.
Risk asset portfolio management, including reporting and monitoring
Recovery strategies and management
Significant financial services experience with skills across the whole enterprise wide risk management portfolio.
Financial and accounting policies and procedures
Governance philosophies, policy and management practices
Compliance philosophies, policy and management practices
Risk management philosophies, management practices and standards
Legislation and industry standards relation to Microfinance Banking and Finance Company policy framework
Relevant public and industry specific private sector operations (Acts, regulations, professional standards)
Skills
Strong knowledge of risk management best practice, including information security.
Well developed analytical skills
Innovative and strategic thinking
Well developed presentation and communication skills
PC word processing, spreadsheet and database preparation and evaluation skills
Awareness of emerging and innovative credit risk assessment specifically social scoring, alternative credit scoring and big data analytics tools.
Report writing dealing with detailed, complex and technical concepts
Sound interpersonal and negotiation skills
Interpretation of legislative and professional standards
Qualifications/Requirements
Bachelor’s degree in Business, Finance, Economics, Accounting, is required
Minimum of Bachelor’s Degree in Finance, Economics, Business Administration, Statistics, ICT etc. from a reputable University
Post graduate degree an added advantage
Minimum of 3 years working experience in finance and investment industry, retail credit or risk management with a focus on automating risk
Interpretation and application of legislation and relevant industry standards
Interested and qualified candidates should send their CV’s to admin@culminateconsulting.com with the relevant position applied for as the subject of the mail.
Apply via :
admin@culminateconsulting.com