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Salary
$53k – $130k per year (Estimated)
Location
In office (London)
Seniority
Senior · 4+ years exp
Employment
Full-Time
Overview
Company
Impact
Profile match
Founded in 1862, Standard Bank Group is the largest financial services organization in Africa by total assets and market capitalisation. Headquartered in Johannesburg, South Africa, the institution operates an extensive network spanning sub-Saharan Africa alongside key international financial centers. The company provides a comprehensive suite of banking, wealth management, insurance, and investment solutions to individual, commercial, and corporate clients across the globe.

Standard Bank Group is a leading Africa-focused financial services group, and an innovative player on the global stage, that offers a variety of career-enhancing opportunities - plus the chance to work alongside some of the sector’s most talented, motivated professionals. Our clients range from individuals, to businesses of all sizes, high net worth families and large multinational corporates and institutions. We’re passionate about creating growth in Africa. Bringing true, meaningful value to our clients and the communities we serve and creating a real sense of purpose for you.

To manage a portfolio of Counterparty Credit Risks associated with lending, trading and investing activities with a particular focus on Oil & Gas. This includes assessing and managing risk across the value chain, from vanilla lending to complex structures and transactions. The role is based in London, and the successful incumbent must have the legal right to work in the UK.

Type of Qualification: First Degree

Field of Study: Business Commerce

Experience Required

4-7 years experience and well developed knowledge of financial markets, the global economy and appropriate regional geographies in which the portfolio operates.

4-7 years experience and good understanding of vanilla lending, structured and derivative products and facilities that give rise to counterparty credit risks, including the documentation required/presented to manage that risk.

4-7 years experience and thorough conceptual and practical knowledge of credit procedures, policies and standards, as well as a thorough understanding of products and facilities that give rise to counterparty credit risk. Understanding of Basel and broader regulatory and compliance requirements.

Behavioural Competencies:

  • Checking Things
  • Conveying Self-Confidence
  • Directing People
  • Establishing Rapport
  • Examining Information
  • Exploring Possibilities
  • Interacting with People
  • Making Decisions
  • Managing Tasks
  • Meeting Timescales
  • Team Working
  • Upholding Standards

Technical Competencies:

  • Risk Identification
  • Risk Management
  • Risk Measurement
  • Risk/ Reward Thinking
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