Lead ongoing portfolio monitoring, risk reviews, and early warning analysis across diverse sectors and regions.
Conduct in-depth financial and credit analysis to assess portfolio health, recommend restructures, and enhance performance.
Build and review complex financial models and risk reports to inform strategic decisions.
Drive governance reporting, IFRS 9 provisioning support, and early intervention strategies.
Mentor and develop portfolio analysts while promoting excellence in credit and risk practices.
Job Experience and Skills Required:
Postgraduate degree in Finance, Economics, Accounting, Business, or Risk Management (CFA, FRM, or CA(SA) advantageous).
Minimum 10 years' experience in credit risk analysis, portfolio monitoring, or financial analysis within investment, wholesale, or development finance.
Proven track record in credit reviews, restructures, and stress testing across African markets.
Strong financial modelling and risk evaluation skills, with exposure to sovereign and infrastructure lending.
Exceptional written and verbal communication -- able to translate complex portfolio insights into strategic guidance.
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