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NCB Financial Group

Senior Assistant Vice President, Group Risk

NCB Financial Group

  • Kingston and St. Andrew / St. Catherine
  • Not disclosed
  • Permanent full-time
  • Updated 24/04/2024
  • NCB
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See below for details

Core Functions:
 
  • Identifying, measuring, monitoring and controlling existing or potential credit risks across a variety of dimensions, such as quality, concentration, currency, maturity, security and type of credit facility across the NCB Financial Group.
  • Formulating and overseeing the implementation of sound and prudent credit policies to effectively manage, monitor and control credit risks whilst ensuring that these policies reflect best practice and regulate the risk assets of the Group.
  • Providing advice and counsel to the relevant subsidiaries of NCBFG on new products and activities to ensure that risks  are subject to adequate risk management procedures and controls before being introduced or undertaken,
  • Overseeing the risk management function for assigned subsidiaries to ensure that appropriate systems, policies & procedures and resources are in place, which allow for the identification, assessment, measurement, monitoring, and management of all risks that arise from the internal and external business environment.
  • Assessing and providing advice and counsel on a variety of complex credit proposals with particular emphasis on the Corporate, Commercial and Investment banking segments.   
 
 



 
 
 
 
 
 
Qualifications & Experience:
• Graduate Degree (MBA or M.Sc.) from a recognized tertiary institution in  Finance, Economics, Accounting, Business or a related field 
• CFA, FRM, PRM certification would be an asset or similar type qualification
• 7 years or more relevant experience in Risk Management with a Financial Entity with oversight of roles covering  credit, market, liquidity & operational risks
• At least 5 years’ experience at the management level in risk management covering credit risk assessment and adjudication, credit Underwriting, Debt Collections & Recovery or portfolio and asset management.
Required knowledge or training:

  • Training in Advanced Corporate Credit Analysis 
  • Training in Portfolio Management 
  • Training in Risk Management 
  • Training in Market & Liquidity Risk Management 
  • Training in Operational Risk Management 
  • Knowledge of Agile concepts and principles 
  • General Knowledge of Debt Collection and Debt Recovery processes 
  • General Knowledge of insurance type risks 
  • General Knowledge of Project management principles

Ref: SAVP- Group Risk
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NCB Financial Group

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