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: Botswana, Gaborone
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Portfolio Manager - Credit
Job purpose
Responsible for the overall credit risk management of local credit funds in order to maximize risk adjusted returns.
Summary of key responsibilities
• Overall responsibility for the local corporate debt
• To optimize return on a risk adjusted basis on the corporate debt portfolio
• Ensure adherence to credit risk management framework, policies,proceses and procedure
• Make comprehensive and effective credit risk assessment and recommendations to the credit committee on all new and existing client credit applications
• Present the credit risk financial analysis to the credit committee on all new and existing client credit applications
• Provide technical expertise and leadership In the development and upgrading of risk assessment methodologies, including appropriate assessment, monitoring and management of tools and systems
• Manage specified bond portfolios;
Qualifications and experience
• CFA Charterholder and a member of the CFA Institute in good standing
• Minimum of 5 years experience t senior managerial level position in the financial service sector.
Technical Competencies required
• Sound understanding and interpretation of complex financial statements;
• Knowledge and relevant experience in assessment of corporate and structured finance products credit risk.
• A working knowledge of commercial law
• Experience and knowledge of credit scoring, probability default risk and rating models such KMV Models
• Management and performance reporting for bond portfolios
Closing date is 19 May 2014 and applications should be addressed and emailed to:
HR Business Partner-Botswana Insurance FUND Management at recruitment@bifm.co.bw

Source: Botswana Guardian, 9th May
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