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Analyst, Portfolio Management, Risk at Standard Bank Group

Standard Bank Group
May 26, 2026
Full-time
On-site
Job Description


To prepare, collate, design and develop complex risk reports to enable the Risk team to provide high quality reporting and insights to key stakeholders in line with established deadlines and governance standards. To drive data driven decision making through robust reporting & analytics while enhancing efficiency through automation initiatives.


Qualifications

Type of Qualification:


First Degree


Field of Study:


Finance and Accounting or any other related field
Certification -(CPA K) and demonstrated proficiency in data analytics (SQL, Power BI or coding)


Experience Required


3 years
Demonstrated experience in report writing and risk management
Strong background in credit risk, impairment (IFRS 9), and regulatory reporting
Proven track record in leading or supporting automation initiatives and driving process improvements
Advanced hands-on experience in Power BI dashboard development and SQL-based data analysis
Practical experience in automation is essential


Behavioural Competencies:


Articulating Information
Establishing Rapport
Examining Information
Following Procedures
Interpreting Data
Producing Output
Upholding Standards


Technical Competencies:


Proficiency in coding, automation, and dashboard development (Power BI is essential)
Data Management
Data Quality
Risk Awareness
Risk Management
Written Communication