Standard Bank Group

Banking + 2 more

Manager, Non-Financial Risk

Job details

Contract Type

Description


Qualifications


Type of Qualification: First Degree

Field of Study: Risk Management, Finance, Accounting, Economics, or related disciplines


Professional / Technical Certifications: (Strongly Preferred); FRM / PRM / CFA (Risk specialization); CPA / ACCA; CISA / CRISC / CIA


Experience Required

8-10 years


  • Minimum 8-10 years risk management experience (2nd 3rd line)
  • Demonstrated ownership of end-to-end NFR lifecycle: Risk identification, assessment, monitoring, reporting, and response
  • Hands-on experience implementing and embedding enterprise risk frameworks, including: COSO ERM / ISO 31000 (or equivalent)
  • Proven experience covering multiple risk types
  • Demonstrated experience in: Preparing and presenting risk reports to senior governance forums (EXCO / RCC / BRC); Escalating material risks and influencing decision-making
  • Ability to provide independent challenges to senior stakeholders while maintaining credibility
  • Proven ability to: Conduct risk assurance reviews / control effectiveness assessments; Drive remediation actions and close control gaps
  • Experience with combined assurance or coordination across assurance providers (Risk, Compliance, Internal Audit) preferred
  • Practical experience in: End-to-end incident management (identification → escalation → RCA → remediation)
  • Evidence of identifying systemic issues and driving sustainable fixes, not just reporting incidents
  • Strong track record of: Influencing Business Heads / Senior Management; Acting as a trusted advisor while maintaining second line independence
  • Ability to balance challenge vs. partnership, particularly in complex stakeholder environments


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