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Manager, Credit Risk, Global Multinational and Corporations

Job in Johannesburg, 2000, South Africa
Listing for: Standard Bank of South Africa Limited
Full Time position
Listed on 2025-11-24
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Corporate Finance, Banking & Finance, Financial Consultant
  • Management
    Risk Manager/Analyst, Banking & Finance
Job Description & How to Apply Below
Position: Manager, Credit Risk, Global Multinational and China Corporations

Job Overview

Business Segment:
Corporate & Investment Banking

Location:

ZA, GP, Johannesburg, 30 Baker Street

To provide an efficient and effective credit origination, approval, and management process in respect of the allocated Corporate & Investment Banking (CIB) Global Multinational Corporations (GMNCs) and Chinese Corporations-linked portfolio. Develop and maintain co-operative relationships between all stakeholders in the CIB credit value chain, ensuring the appropriate, timely and effective management of the allocated portfolio and in collaboration with country and sector credit managers across the regional geographies where the portfolio GMNC/Chinese counter parties operate, providing guidance where needed to ensure alignment with the GMNC/China strategy and risk appetite, while assisting with skills dissemination to others, as well as investment in one’s own growth.

Qualifications

Type of

Qualification:

First Degree

Field of Study: Business Commerce

Licenses &

Certifications:

CA (SA) or CIMA or CFA would be advantageous

Experience Required

  • 3-5 years in-depth understanding of accounting both management and financial accounting to analyze financial strengths and weaknesses of clients and identify potential risks to credit proposals.
  • 3-5 years thorough conceptual and practical knowledge of credit procedures, policies, and standards, as well as a thorough understanding of bank products and facilities that give rise to counter party credit risk. Seasoned understanding of Basel and broader regulatory and compliance requirements.
  • 3-5 years understanding and working knowledge of risk systems monitoring and its related procedures for analyzing the account behaviour of clients and identifying trends and shifts in credit risk profiles. Seasoned technical understanding of non-credit risks encountered within transactions.
  • 3-5 years well developed knowledge of financial markets, the global economy, and appropriate regional geographies in which the portfolio operates.
  • 3-5 years seasoned understanding of lending and derivative products and facilities that give rise to counter party credit risks, including the documentation required/presented to manage that risk.
  • 3-5 years demonstrated experience in managing senior level stakeholders.
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