Primera Africa Finance Group is a financial services firm that provides a range of services to clients across the African continent. Our goal is to provide bespoke financial solutions, in the most professional and efficient manner to meet our clients' individual needs.
Such ambition requires the ability to understand the various peculiar needs of our clie...
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The Head of Portfolio Management is responsible for leading the bank's portfolio management strategy, ensuring alignment with the overall goals and risk management framework. This individual will oversee the development, execution, and monitoring of investment portfolios, ensuring optimal returns while managing risk exposure across different asset classes. The role requires strong leadership, analytical skills, and deep market knowledge to drive the bank's portfolio performance.
Key Responsibilities/ Duties
Daily review of the Bank's loan portfolio
Weekly presentation of Credit Risk report at ALCO and to the Executive Management
Overseeing the preparation of Quarterly Board reports (Board committee)
Overseeing all reports generated by Portfolio Management
Liaising with auditors and CBN regulators to ensure all requirements are met as at when due
To ensure all regulatory renditions are delivered timely
Overseeing computation of the Bank's monthly provision and impairment figures
Liaising with Business and other stakeholders within the Bank to develop reports that will assist in achieving their desired goals
Overseeing the Bank's collection process
Coordinating Recon project
Overseeing and coordinating all activities within the Unit
Carrying out any adhoc assignments as required by Management
Key Qualifications:
Bachelor's degree in finance, Economics, Business Management, or related fields (Master's degree or CFA is preferred).
Minimum of 10 years of experience in portfolio management, investment banking, or asset management, with at least 5 years in a leadership role.
Proven track record of managing large, complex investment portfolios across multiple asset classes.
Strong understanding of financial markets, investment strategies, and risk management principles.
Advanced knowledge of portfolio performance analysis tools and metrics.
Exceptional leadership and team management skills, with the ability to drive high performance.
Excellent communication and presentation skills, with the ability to influence and engage stakeholders.
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