Equity Bank Kenya

Banking + 2 more

Senior Credit Risk Manager

Closed for applications
Job details

Contract Type

Description

EXPERIENCE REQUIREMENTS

Minimum 9 years’ related areas within the financial services industry, 6 years in Credit Risk experience

ACADEMIC QUALIFICATIONS AND CERTIFICATIONS

Bachelor’s degree in finance, Economics, Accounting, Mathematics, Statistics, or a related field.

Master’s degree in finance, Risk Management, Economics, or Business Administration is an added advantage.

Professional certifications such as FRM, PRM, CPA, ACCA, or CFA are strongly preferred.



Responsibilities

Credit Risk Management

Lead the development, review, and ongoing enhancement of credit risk reporting frameworks, dashboards, and management information (MI).

Monitor the Bank’s credit risk profile across portfolios, products, sectors, and counterparties, highlighting emerging risks and trends.

Support the formulation and review of credit risk frameworks, policies, methodologies, and risk appetite metrics.

Provide expert analysis and insights on asset quality, portfolio performance, concentrations, stress testing outcomes, and early warning indicators.

Ensure timely, accurate, and compliant credit risk reporting to senior management, Board Risk Committees, and regulators.

Partner with Credit, Finance, Treasury, Business Units, and Compliance to support informed credit decision-making.

Oversee credit risk data quality, assumptions, and integrity across systems and reports.

Support regulatory submissions, internal and external audits, and supervisory reviews relating to credit risk.

Mentor and develop team members, fostering a strong risk culture and technical capability within the Credit Risk function.

Climate Risk

Support the development and maintenance of the Group Climate Risk Framework aligned to international best practice and regulatory guidelines.

Define governance, roles, metrics, data requirements, and processes for physical and transition risk assessment.

Lead climate risk scenario analysis, sector heatmapping, asset level vulnerability assessments, and exposure mapping.

Oversee financed emissions estimation climate concentration analysis and carbon intensive sector reviews.

Integrate climate risk drivers into credit rating models, underwriting, stress tests, and ECL overlays.

Country Risk Management

Develop and maintain the Country Risk Management Framework covering:

o Transfer & Convertibility (T&C) risk

o Sovereign risk

o Contagion risk

o Cross border settlement risk

Ensure alignment with Basel Committee guidelines, rating agencies, and internal methodologies.

Monitor country limit utilization across subsidiaries and cross border exposures.

Identify emerging risks arising from geopolitical shifts, capital controls, rating downgrades, or sovereign restructurings.

Integrate country risk into ICAAP, stress testing, and capital planning decisions.


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