Senior Manager – Market Risk & Treasury (Financial Risk Management)

apartmentNetwork Recruitment placeJohannesburg calendar_month 

Senior Manager Market Risk & Treasury (Financial Risk Management)

Key Responsibilities:

  • Lead and deliver quantitative risk management engagements across market, credit, FX, and commodity risks.
  • Develop high-quality reports on market risk, interest rate risk in the banking book, and counterparty credit risk.
  • Engage in hedge accounting (IFRS9/IAS39), share-based payment valuation (IFRS2), and derivative modelling (IFRS13).
  • Manage teams on advisory and audit support projects, while mentoring junior professionals.
  • Collaborate on business development and contribute to industry thought leadership.

What Youll Need:

  • Degree in Finance, Quantitative Finance, Mathematics, Engineering, or similar.
  • 7+ years experience in consulting, regulatory, or banking environments with deep financial markets exposure.
  • Proven technical expertise in capital markets and risk analysis.
  • Strong leadership, communication, and stakeholder engagement skills.
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