Senior Market Risk Analyst

1 month ago


Johannesburg, Saudi Arabia Nedbank Full time

Job Responsibilities

  • Provide accurate senior management level risk reporting through daily review and distribution of relevant reports.
  • Minimise unintended losses linked to market risk by proactively supplying information for decision making to senior management.
  • Minimise costs by ensuring that auditors receive information timeously.
  • Support business in the special deal process by providing relevant input and analysis as needed.
  • Ensure compliance to policy and mandates through effective monitoring and reporting to minimise losses 
  • Maintain and build on existing client relationships through regular communication with front office.
  • Contribute to overall performance of team by sharing knowledge with the team.
  • Establish and maintain sound working relationships with external stakeholders e.g. regulators through regular and timeous reporting.
  • Support the achievement of the business strategy, objectives and values by reviewing Nedbank and Business Unit Plans and ensuring delivered systems, process, services and solutions are aligned.
  • Provide senior management with high level feedback through timeous and accurate reports on both regular and ad hoc basis.
  • Ensure that mandate breaches are fully understood and do not expose the bank to excessive risk through relevant analysis.
  • Ensure the accuracy of risk reports by regular review and management of the reconciliation process.
  • Enhance current methodologies/ policies and practices by keeping abreast of new industry developments and seeking opportunities for improvements.
  • Ensure that models, methods, principles developed and systems used in pricing and risk management are understood and well communicated to senior management by regular and adhoc reporting.
  • Ensure understanding of Level 3 market risk policies and procedures by regular reviews.
  • People Specification

Essential Qualifications - NQF Level

  • Professional Qualifications/Honour’s Degree

Preferred Qualification

  • CFA, Financial Risk Management FRM

Minimum Experience Level

  • 5 or more years experience in market risk and/or quantitative analysis within global markets


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