To provide support for the Head of Credit MIS and Portfolio Reporting in producing accurate, timely and meaningful MI to meet regulatory & other requirements.
QUALIFICATIONS
Qualifications
First degree in Finance, Accounting, or Mathematical Sciences
Professional qualification in GARP - Financial Risk Management (or equivalent) would be an added advantage
Experience
Minimum of five years of relevant experience
Good understanding of credit risk management and the Bank’s internal processes with regard to the non-performing loan recovery process and credit processes
Good understanding of International Financial Reporting Standard (IFRS) 9