Our Client in the Financial Banking Industry is looking for a Manager: Financial Markets Infrastructure Supervision to join their dynamic driven team. If you meet the below requirements do not hesitate to send your CV for consideration.
Duties and Responsibilities:
Develop short-term goals align teamwork and tasks with divisional goals and provide input the development of policies and processes.
Analyses collate and provide management information for planning and budgeting.
Manage the delivery of work objectives of the analysts through the allocation and monitoring of work and manage the accountability of resources.
Ensure that FMIs adhere to the principles for financial market infrastructures (PFMIs) and comply with minimum supervisory standards.
Conduct relevant research to align with international best practice compliance and standards.
Provide accurate and meaningful information for both domestic and international consumption.
Represent the organization in industry meetings and express the organizations case within the given mandate and parameters.
Requirements
Postgraduate degree (NQF 8) in Accounting Economics Finance or Risk Management;
10 years experience in the FMI sector or FMI policy environment; and
two years experience in managing a team.
Knowledge of Prudential Authority (PA) supervision regulation and legislation;
financial markets and instruments;
relevant policies and procedures;
research methodologies;
PFMIs;
Required Skills:
Postgraduate degree (NQF 8) in Accounting Economics Finance or Risk Management; 10 years experience in the FMI sector or FMI policy environment; and two years experience in managing a team. Knowledge of Prudential Authority (PA) supervision regulation and legislation; financial markets and instruments; relevant policies and procedures; research methodologies; PFMIs;
Required Education:
Postgraduate degree (NQF 8) in Accounting Economics Finance or Risk Management;
Our Client in the Financial Banking Industry is looking for a Manager: Financial Markets Infrastructure Supervision to join their dynamic driven team. If you meet the below requirements do not hesitate to send your CV for consideration. Duties and Responsibilities: Develop short-term goals align tea...
Our Client in the Financial Banking Industry is looking for a Manager: Financial Markets Infrastructure Supervision to join their dynamic driven team. If you meet the below requirements do not hesitate to send your CV for consideration.
Duties and Responsibilities:
Develop short-term goals align teamwork and tasks with divisional goals and provide input the development of policies and processes.
Analyses collate and provide management information for planning and budgeting.
Manage the delivery of work objectives of the analysts through the allocation and monitoring of work and manage the accountability of resources.
Ensure that FMIs adhere to the principles for financial market infrastructures (PFMIs) and comply with minimum supervisory standards.
Conduct relevant research to align with international best practice compliance and standards.
Provide accurate and meaningful information for both domestic and international consumption.
Represent the organization in industry meetings and express the organizations case within the given mandate and parameters.
Requirements
Postgraduate degree (NQF 8) in Accounting Economics Finance or Risk Management;
10 years experience in the FMI sector or FMI policy environment; and
two years experience in managing a team.
Knowledge of Prudential Authority (PA) supervision regulation and legislation;
financial markets and instruments;
relevant policies and procedures;
research methodologies;
PFMIs;
Required Skills:
Postgraduate degree (NQF 8) in Accounting Economics Finance or Risk Management; 10 years experience in the FMI sector or FMI policy environment; and two years experience in managing a team. Knowledge of Prudential Authority (PA) supervision regulation and legislation; financial markets and instruments; relevant policies and procedures; research methodologies; PFMIs;
Required Education:
Postgraduate degree (NQF 8) in Accounting Economics Finance or Risk Management;