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  • Posted: Mar 5, 2025
    Deadline: Not specified
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  • KPMG is the authoritative voice in Africa - unmatched in our ability to provide excellent service to our global, regional and local clients. KPMG in Africa's footprint ensures our forward-thinking, skilled professionals understand the complexities of doing business on this continent. Our deep expertise on Africa’s contrasts and opportunities and long-stand...
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    Market Risk Senior Manager, Financial Risk Management

    You will

    • Work closely with partners and associate directors to deliver high quality reporting on market risk issues to our banking and financial services sector clients. You will be preparing reports relating to market risk, counterparty credit risk, interest rate risk in the banking book, and liquidity risk;
    • Complete quantitative financial risk management engagements related to but not limited to foreign exchange, interest rate, credit, commodity risks, and related controls;
    • Demonstrate high level of understanding of capital markets processes, including trading, limits, risk management, credit, settlement, and operations;
    • Serve as subject matter professional in a product area, quantitative risk management, IFRS2 Share-based payment valuation, IFRS9/IAS39 Hedge Accounting, IFRS13 or exotic derivative modelling;
    • Lead staff in advisory engagements and audit assist assignments;
    • Integrate with the KPMG community, both locally and internationally, to identify and convert opportunities for business growth;
    • Lead thinking about the changing financial landscape by contributing to research for our clients; and
    • Inspire, teach and coach the junior staff reporting to you.

     Qualifications, Skills & Experience

    • At KPMG, we believe diversity of thought, background and unique experience strengthens relationships and delivers meaningful benefits to our people, our clients and communities.

    To be considered for this opportunity, your qualifications, skills & experience could include

    • Technical excellence in market risk analysis, as evidenced by a degree in finance or in quantitative finance, engineering, mathematics, or statistics from an accredited college/university coupled with advanced or professional qualifications;
    • Experience working in a consulting environment, or with a regulator or a financial institution – ideally a bank – which has deep exposures to financial markets;
    • A demonstrated ability to relate well to others and to build trusted business relationships and networks;
    • Success at working within a project-based environment, where collaboration is vital; and
    • The power to communicate clearly and confidently, both in writing and in person.
    • A minimum of 7 years of relevant experience including advisory services or project management.

    Check how your CV aligns with this job

    Method of Application

    Interested and qualified? Go to KPMG South Africa on kpmgza.taleo.net to apply

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