Senior Manager, Equity Risk
Listed on 2026-02-27
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Finance & Banking
Corporate Finance, Risk Manager/Analyst
Business Segment: Corporate & Investment Banking
Location: ZA, GP, Johannesburg, 30 Baker Street
The purpose of this role is to assess, value, and manage the Equity book of CIB, as well as to play a role in valuation and reporting of other equity exposures across the wider Standard Bank Group. The incumbent is required to play a key role in risk-assessing, originating, managing, and reporting Equity Finance transactions originated by the Principle Structured Finance (PSF) Investment Banking team, the BEE Client Service Team (CST), or Equity Capital Markets (ECM) team.
Qualifications
- Type of Qualification: Postgraduate Degree
- Field of Study: Business Commerce, Finance and Accounting, Legal, Risk Management
- Licenses & Certifications: Certified Investment Management Analyst (CIMA), Certified Risk Manager (CRM), Chartered Accountant CA (SA), Chartered Financial Analyst (CFA)
Experience Required
- 5-10 years of experience with a proven track record operating in a wholesale business environment or a demonstrated ability to understand holistic business, pricing, and capital management issues. Exposure to syndicated loans and distribution strategies (origination and sell down) is a strong advantage.
- 5-10 years of experience in credit, equity, valuations, leverage, or subordinated risk.
- 5-10 years of experience and application of extensive credit management, preferably in a Corporate & Investment Banking environment.
Please note:
All our recruitment processes comply with applicable local laws and regulations. We will never ask for money or any form of payment as part of our recruitment process. If you experience this, please contact our Fraud line at or Transacti
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