
You will oversee portfolio performance, credit risk analytics, IFRS 9 compliance, and strategic reporting, while driving innovation and process excellence. You will work closely with senior leadership and business teams to ensure proactive risk management, alignment with regulatory and Group standards, and sustainable portfolio growth.
University degree (Upper Second Division or equivalent) in Finance, Business, Economics, Statistics or a related field
Relevant professional qualification in Banking, Accountancy, Credit Risk Management, or Financial Analysis (e.g., CFA, CPA, FRM)
Additional certifications in data management, data analytics, or related IT programs are a plus
Minimum of 5 years’ experience in the banking sector
At least 3 years in portfolio analysis or credit risk management roles
High level proficiency in IFRS 9 Modelling (at least 2 years’ experience)
Demonstrated experience in financial analysis and credit portfolio management
High proficiency in spreadsheet tools (e.g., Excel)
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