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Non Financial Risk Manager

Standard Bank Group · Bank

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Job Description

To provide strong execution and operational drive to implement Non-Financial Risk (NFR) management processes and systems as a key enabler to achieving the business objectives of the organisation across business units.

Qualifications

Type of Qualification: First Degree
Field of Study: Business Commerce
Type of Qualification: First Degree
Field of Study: Risk Management

Experience Required
Operational Risk Management
Risk & Corporate Affairs
3-4 years
Practical knowledge of risk and control frameworks and application in financial services industry. Be fully conversant in risk appetite, risk response and process improvement concepts. Understand both NFR and financial reporting risk characteristics.

3-4 years
Practical knowledge of risk, control frameworks & applications in financial services industry. Fully conversant in risk appetite, risk response & process improvement concepts. Understand both non-financial risk and financial reporting risk characteristics.

Additional Information

Behavioural Competencies:

  • Articulating Information
  • Challenging Ideas
  • Convincing People
  • Embracing Change
  • Examining Information
  • Exploring Possibilities
  • Generating Ideas
  • Interpreting Data
  • Making Decisions
  • Providing Insights
  • Resolving Conflict
  • Upholding Standards

Technical Competencies:

  • Analysing Insurable Risk
  • Economic Capital Management
  • Evaluating Risk Management Effectiveness
  • Risk Identification
  • Risk Measurement
  • Risk Reporting
  • Risk Response Strategy
  • Risk/ Reward Thinking
  • Mid-Senior Level

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