Drive strategic oversight and performance of Standard Bank Groups Global Equity Investments portfolio. This high-impact role spans the full equity lifecycle from valuation and structuring to return and portfolio optimisation. Partnering closely with dealmakers and cross-functional teams you will lead the risk-managed deployment of equity capital and enable sustainable portfolio growth across all segments of the Group and the broader Equity business.
Qualifications :
Type of Qualification: Post Graduate Degree
Field of Study: Finance and Accounting Risk Management
Licenses & Certifications: Chartered Institute of Management Accountants (CIMA) Chartered Accountant CA (SA) Chartered Financial Analyst (CFA) Professional Risk Manager (PRM) Certified Financial Risk Manager (FRM)
Experience Required
More than 10 years experience in Credit / Equity or other relevant experience. Preference for highly structured complex credit transactions or equity investments experience. Preference for P&I Sector relevant experience. Investment Banking Corporate Finance Equity or similar experience.
Track record of operating with a personal delegated authority at a minimum of DA5.
People management experience.
Experience in coaching managing leading and coordinating teams.
Additional Information :
Behavioural Competencies:
- Developing Strategies
- Directing People
- Embracing Change
- Empowering Individuals
- Making Decisions
Technical Competencies:
- Capital Markets and Company Valuations
- Economic and Market Analysis
- Economic Capital Management
- Investment Analysis and Business Insights
- Financial Modelling and Quantitative Analysis
Remote Work :
No
Employment Type :
Full-time
Drive strategic oversight and performance of Standard Bank Groups Global Equity Investments portfolio. This high-impact role spans the full equity lifecycle from valuation and structuring to return and portfolio optimisation. Partnering closely with dealmakers and cross-functional teams you will lea...
Drive strategic oversight and performance of Standard Bank Groups Global Equity Investments portfolio. This high-impact role spans the full equity lifecycle from valuation and structuring to return and portfolio optimisation. Partnering closely with dealmakers and cross-functional teams you will lead the risk-managed deployment of equity capital and enable sustainable portfolio growth across all segments of the Group and the broader Equity business.
Qualifications :
Type of Qualification: Post Graduate Degree
Field of Study: Finance and Accounting Risk Management
Licenses & Certifications: Chartered Institute of Management Accountants (CIMA) Chartered Accountant CA (SA) Chartered Financial Analyst (CFA) Professional Risk Manager (PRM) Certified Financial Risk Manager (FRM)
Experience Required
More than 10 years experience in Credit / Equity or other relevant experience. Preference for highly structured complex credit transactions or equity investments experience. Preference for P&I Sector relevant experience. Investment Banking Corporate Finance Equity or similar experience.
Track record of operating with a personal delegated authority at a minimum of DA5.
People management experience.
Experience in coaching managing leading and coordinating teams.
Additional Information :
Behavioural Competencies:
- Developing Strategies
- Directing People
- Embracing Change
- Empowering Individuals
- Making Decisions
Technical Competencies:
- Capital Markets and Company Valuations
- Economic and Market Analysis
- Economic Capital Management
- Investment Analysis and Business Insights
- Financial Modelling and Quantitative Analysis
Remote Work :
No
Employment Type :
Full-time
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