Standard Bank GroupNairobi, KE

Analyst, Portfolio Management, Risk

Description

Job Description To prepare, collate, design and develop risk reports to enable the Risk team to provide high quality reporting to key stakeholders according to set deadlines. To manage portfolio risk and concentrations within the Credit environment to ensure the portfolio remains within the risk appetite. Qualifications Type of Qualification: First Degree Field of Study: Mathematical Sciences or other related field SQL/SAS/Python/PowerBi proficiency is essential Experience Required 3 -4years Credit Data Analytics within Personal & Private Banking. Experience in (preferably credit) data exploitation and business intelligence development and implementation Experience in the extraction, transformation and visualization of data using bank approved toolsets e.g. SQL/SAS/Python/PowerBi

Skills

SQLPython

Want AI to find more roles like this?

Upload your CV once. Get matched to relevant assignments automatically.

Try personalized matching