Bachelor's degree in Finance, Accounting, Economics, Mathematics, Statistics or a related discipline.
Relevant professional qualifications such as CFA, ACCA, CPA, FRM, ACT or equivalent are advantageous.
Postgraduate qualifications in Finance, Risk, Economics or Business Administration are advantageous.
ACI qualification is advantageous where financial-markets activity forms a material part of the role.
Preferred Experience
At least seven years of relevant banking experience, with meaningful exposure to balance sheet management, capital management, funding and liquidity, ALM, FTP, Treasury Finance or financial risk management.
Experience preparing for senior management, ALCO, Board or regulatory submissions.
Experience in financial modelling, forecasting, stress testing and management information.
Experience managing complex cross-functional deliverables and influencing senior stakeholders.
People-management or team-leadership experience is preferred.
Knowledge and Skills
Strong knowledge of banking, financial markets, balance sheet management, prudential requirements, governance and control standards.
Advanced analytical, stakeholder-management and executive-communication skills.
GK
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