Analyst, Portfolio Management, Risk

Full time @Standard Bank Group in Information Technology
  • Post Date : March 30, 2026
  • Apply Before : April 13, 2026
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Job Detail

  • Experience  3 Years
  • Qualifications  Degree Bachelor
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Job Description

Job Description

To prepare, collate, design, and develop risk reports to enable the Risk team to provide high-quality reporting to key stakeholders according to set deadlines. To manage portfolio risk and concentrations within the Credit environment to ensure the portfolio remains within the risk appetite.

Qualifications

  • Type of Qualification: First Degree
  • Field of Study: Mathematical Sciences or other related field
  • SQL/SAS/Python/PowerBi proficiency is essential

Experience Required

  • 3 -4years
  • Credit Data Analytics within Personal & Private Banking.
  • Experience in (preferably credit) data exploitation and business intelligence development and implementation
  • Experience in the extraction, transformation, and visualization of data using bank-approved toolsets, e.g., SQL/SAS/Python/Power BI
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