Job Specifications** Academic Qualifications:****
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- University degree (Upper Second Division or equivalent) in Finance, Business, Economics, Statistics or a related field.
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Professional Qualifications:****
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Relevant professional qualification in Banking, Accountancy, Credit Risk Management, or Financial Analysis (e.g., CFA, CPA, FRM).
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Additional certifications in data management, data analytics, or related IT programs are a plus.
Desired Work Experience:**
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Minimum of 5 years’ experience in the banking sector, with at least 3 years in portfolio analysis or credit risk management roles.
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High level proficiency in IFRS 9 Modelling (at least 2 years’ experience)
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Demonstrated experience in financial analysis and credit portfolio management.
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Proven ability to develop collaborative relationships with key internal stakeholders to achieve objectives and prioritizations
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High proficiency in spreadsheet tools (e.g., Excel) and in presenting data effectively.