Head Strategy & Risk Management at Jofad Consulting

Job Overview

Location
Lagos, FCT
Job Type
Full Time
Date Posted
3 years ago

Additional Details

Job ID
14103
Job Views
109

Job Description



Jofad Consulting Limited- Our client, a financial institution in Abuja, Nigeria is recruiting for experienced professional to fill the position of Head Strategy & Risk Management



Location: Abuja

Job Description:



  • Long term capital raising activities, leveraging, Institutional Investors, Foreign/Local financiers, capital market etc

  • Loan Monitoring

  • Administration of Enterprise Risk Management Framework for the Bank

  • Liaise with Estate Valuers to conduct property valuation as a condition for loan appraisal

  • Administration of credit searches on various credit bureau search engine.

  • Routine Administration of NMRC Re-Financing Activities

  • Conduct Estate Site Inspection, Monitoring and Assessment when Estate Construction loan are being disbursed

  • Routine Risk Asset Appraisal for Branches

  • Administration of Enterprise Risk Management Framework e.g Risk Register, Departmental Risk Tolerance, Document, Key Risk Indicators schedule etc

  • Administration of Packaging NHF Loans at Federal Mortgage Bank from packaging to disbursement stage.

  • Handle Mortgage Refinancing activities

  • Liaison with Federal Mortgage Bank (FMBN), Nigerian Mortgage Refinance Company (NMRC), Development Bank of Nigeria (DBN), Security Exchange Commission (SEC) and Registrar.

  • Investor, shareholders Relations


Academic Qualification & Work Experience



  • First degree or its equivalent in any field.

  • Minimum of 8 years post graduate cognate experience in any reputable financial institution with proven track records of achievement, with at least 4 years at managerial positions of a reputable financial institution.

  • ACA/ACCA/CFA Professional qualification will be an added advantage.

  • Knowledge of Credit and Risk Management analysis is required


Knowledge/ Skills



  • The ideal candidate must have cognate experience in Capital fund raising, Risk Management activities.

  • Loan Monitoring and Analysis

  • Financial modelling and analysis

  • He/ She must understand credit analysis.

  • He/ She must be a self starter.

  • Highly proficient in the use of the Microsoft office suite.

  • Excellent communication skills (Written & Oral).

  • Proactive with sound problem solving skills.

  • Excellent facilitation and presentation skills.

  • Excellent interpersonal skills

  • Risk Assessment Ability

  • Management experience

  • Strong working Knowledge of the capital market risks associated with financial business.


Personal Attributes



  • Candidate must be firm and assertive.

  • Highly organized and thorough.

  • Ability to work within tight schedules.

  • Candidate must be courteous and tolerant.

  • Result driven and self motivated.

  • Patient and extremely courteous.


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