Key Responsibilities:
Analyze diversified credit portfolios, ensuring strategic alignment with investment goals.
Conduct financial modeling and performance evaluations across credit, investment, and property sectors.
Assist in originating new investment opportunities with a focus on value creation.
Provide in-depth research, credit risk assessment, and due diligence for investment decisions.
Collaborate with senior management to develop and implement credit and investment strategies.
Prepare detailed reports, presentations, and recommendations for investment committees.
Qualifications:
Bachelor's or Honours Degree in
Mathematics ,
Statistics ,
Financial Mathematics ,
CA(SA) ,
CFA , or a related field.
Minimum of
2 years
of experience in
credit ,
investment ,
property , or
originations
within the
banking industry .
Proven expertise in financial modeling, credit analysis, and investment risk assessment.
Strong analytical mindset with the ability to translate complex data into actionable insights.
Ability to work in a fast-paced environment, handling multiple priorities effectively.
Apply now!