Risk Manager
R1.2m - R1,3m
Cape Town
Outstanding career opportunity with boutique global investor in the banking sector. Reporting to the Head of Risk you will be responsible for guiding and implementing best practices in risk management. This role combines technical expertise with strategic insight to strengthen risk oversight, support investment decisions, and build resilience in a dynamic regulatory and technological environment.
Key Responsibilities:
• Support the Head of Risk in defining and safeguarding risk and control frameworks including risk assessments and reporting.
• Act as a trusted advisor to investee firms on risk and compliance frameworks.
• Prepare risk related opinions and recommendations for management and board committees.
• Collaborate with investment managers to embed risk considerations into strategic decisions.
• Monitor and interpret regulatory developments impacting risk and technology adoption across jurisdictions.
• Deliver capacity building initiatives (workshops, webinars, training, etc).
• Conduct market research and engage industry networks to inform risk strategy.
Qualifications
• Postgraduate degree (minimum requirement) in Finance, Risk Management, Finance, Economics, or Quantitative field.
• 5 - 10 years’ proven experience in risk or portfolio management, preferably in banking, consulting, or a Big Four audit firm.
• Relevant professional risk certifications (e.g., PMI-RMP, FRM, PRMIA, or equivalent) strongly preferred.
• Strong project/process management and research skills.
• Exposure to African banking markets and regulatory frameworks is preferred, with willingness to learn and adapt.
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