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(1791) Manager - Capital Management, Banking and Other Sectors -PSISD at South African Reserve Bank

South African Reserve Bank
August 06, 2026
Full-time
On-site
The successful candidate will be responsible for the following key performance areas:


To develop and manage the implementation of operational plans for the section.
To manage the output of the capital analyst team responsible for capital related support, the monitoring and reporting of current and emerging risk pertaining to capital management.
To lead and manage strategic relationships (stakeholders/clients, within the SARB and external).
To manage the delivery of work objectives through resource utilisation, setting of targets, prioritisation of work, and direct other operational activities.
To identify and mitigate risks related to own function and ensure compliance with relevant governance frameworks
To develop a risk-monitoring framework for the identification, monitoring and management of risks to the banking, financial market infrastructure (FMI), and other sectors;
To manage the inputs to the assessment of the macroeconomic environment in collaboration with the Financial Stability department and the detection of the build-up of risks, trends and concentrations in the banking, FMI and other sectors;
To provide integrated management information reports on the banking and FMI and other sectors to internal stakeholders and other relevant authorities.
To participate on local and international committees or forums such as the Basel Committee and specifically its sub-committees and the relevant working groups.
To manage, develop and implement the regulatory and supervisory frameworks, relating to capital management of banks, FMIs and other sectors.
To manage the performance of staff and promote as well as support career management and development


Qualifications

Formal Qualifications/Education:



A minimum of a post graduate qualification or Honours degree (NQF 8) in Accounting, Economics or Finance degree OR equivalent



Job Related Knowledge and Skills Requirements:


Industry, organisational and business awareness knowledge and skill
Banking sector, or FMI sector regulations and legislation
Understanding of the macro-economic environment
Understanding of accounting principles and financial ratios
Research methodologies
Knowledge in Capital Management within the Banking / or FMI environment


Behavioural Competencies:


Cultivates self-awareness and mastery
Develops inter-personal effectiveness
Builds and maintains trust
Acts with empathy and compassion
Develops and empowers teams
Fosters diversity and inclusion
Creates and drives purpose
Leads cohesive teams through effective communication
Fosters collaboration
Leads change
Manages Complexity and Ambiguity
Drives digital dexterity/fluency


Job Related Work Experience:


A minimum of 8-10 years of experience in Capital Management in the Banking / FMI environment
A minimum of two to three years' experience in managing teams

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