We are currently seeking an experienced Investment/Credit AVP to join our Risk Management Team.

The successful candidate will be responsible for assisting the Head of Risk in managing the risk frameworks, policies and processes within the Bank ensuring that strategic, financial, investment and regulatory issues are identified, evaluated and managed.

Key Responsibilities:

  • Assist in management of risk frameworks and policies.
  • Help ensure that effective governance arrangements are maintained across the organization by assisting in preparation and delivery of monthly and quarterly management information reporting to agreed timelines.
  • Assist in analyzing/assessing investment proposals. Interact with internal business units to prepare credit reports.
  • Monitor credit risk positions associated with private equity investments, financing, and capital markets products.
  • Maintain data integrity for all names / transactions in IT systems


  • Strong background in a risk environment with over 5 years post-graduation work experience in risk management field
  • Holds a good degree which demonstrates analytical abilities
  • Postgraduate qualification preferred but not essential
  • Charted Financial Analyst Qualification (CFA)
  • FRM/PRMIA - beneficial not essential


  • Strong oral and written communication skills with a High degree of computer literacy.
  • Ability to work independently as well as part of a team
  • Strong analytical and problem solving skills
  • Ability to work on own initiative and to deadlines.

Please submit your resume and cover letter to