Job Description
Are you looking for an exciting career opportunity in the Quantitative Risk space? Are you a driven and ambitious individual and would you like to be part of a high-performance culture? We have an exciting opportunity available with one of South Africa’s leading Investment and Insurance houses based in Johannesburg
The role will be responsible for:
•Implementing capital efficient corporate actions (e.g. dividends, debt issuance);
•Optimizing treasury and cash management structures across segments, the group and across regulatory frameworks
•Producing the group capital plan, monitoring that the group capital and cash levels to optimal levels of efficiency
•Supporting on the debt capital programmes, debt issuances, investor road shows, coupon payments and credit rating agency requirements
•Reporting and execution of intragroup transactions and ensuring the supporting governance requirements are met
•Dividend management, accessible capital calculations and forecast and execution of dividend payments
•Setting entity specific group targets in line with internal management frameworks
•Analyzing commercial aspects of capital investments, and new and existing products
Requirements:
•BSc(Hons) in Actuarial Science, Mathematics or Statistics, Accounting or Economics
•Professional Qualification such as CA(SA), Actuary or CFA would be advantageous
•6 years balance sheet management experience
•Ability to work with light-touch supervision on projects or tasks
•Must have experience and skills such as actuarial background, quantitative finance, corporate finance, deal planning, regulations and commercial acumen
If you would like to apply for this position, please send transcripts with applications.
or