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- Prepare credit reports, providing advice on credit risk ratings, pricing, exposure, and making investment recommendations for individual transactions.
- Provide expert advice on credit risk factors that may influence investment decisions made on portfolios for both listed and unlisted investments.
- Participate in due diligence of investment considerations and provide independent risk assessment detailed reports with recommendations to inform decision-making.
- Assess investment considerations against client mandates and internal investment-related policies and processes, forming part of the overall risk assessment to inform decision-making.
- Conduct ongoing risk monitoring at investment and portfolio levels for reporting to Management, Client, and Board (as required).
- Participate in ad-hoc credit and investment risk-related projects and activities to improve ways of measuring, managing, reporting, and minimizing risk while ensuring maximized return on all portfolios.
- Contribute to the enhancement of credit risk and investment risk processes to enable continued robustness of the organization's risk management.
- B Com Degree (Finance/Accounting), BSc (Actuarial/Mathematics) or any related Commercial degree.
- Post graduate Finance or Investment-related Degree, CFA, FRM, CAIA (Highly Advantageous).
- Minimum 4 years' relevant experience in due diligence assessments of credit risk in Corporate Finance and Project Finance Deals.
- Minimum 4 years credit risk experience in both unlisted and listed credit is highly advantageous.
- Knowledge of Credit Assessment Techniques for various asset classes.
- Knowledge of Financial Modeling and Valuation techniques.
- Knowledge of compliance requirements for investments in Asset Management.
- Knowledge of systems used in investments to perform and apply analytical skills.
- Valuation techniques for various asset classes (listed, unlisted, and property assets).
- Credit risk management for various asset classes (listed, unlisted, and property assets).
- Due diligence and Credit restructuring skills.
- Knowledge and understanding of financial and non-financial risks.
- Financial/Investment risk management.
- Investment Compliance management.
- Risk Monitoring and Reporting ('Cradle to Grave').
- Programming skills given the dependency on model usage.
- Strong analytical skills.
- Strong research skills.
- Strong financial modelling skills.
- Strong presentation skills (written and verbal).
- Ability to work and collaborate with multiple teams in the Investment Process.
- Ability to work independently to execute mandated tasks.
- Ability to communicate at senior management level.
- Ability to work under pressure and to tight deadlines.
- Ability to travel (domestically and internationally) to conduct due diligence.
- High degree of ethical conduct to ensure integrity of the investment portfolios and the organisation.
Credit Risk Analyst - Pretoria - Fempower

Description
Purpose of the Role:
To effectively manage credit risk by identifying, quantifying, and reporting on various forms of credit risk, including pricing, volatility, and interest rate risk. This involves conducting ongoing research and understanding of financial markets to stay informed about trends and risks.
Responsibilities:
Requirements:
Competencies and Skills:
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