Manager, MIS & Portfolio Analysis
2025-05-21T19:16:36+00:00
standard bank
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https://www.standardbank.com/
FULL_TIME
Hannington Road
Kampala
00256
Uganda
Banking
Management
2025-05-31T17:00:00+00:00
Uganda
8
Job Description
This role plays a critical part in shaping data-driven credit strategies that enhance portfolio performance and support sustainable lending decisions.
It also provides strategic business research and analysis for Uganda Credit by keeping abreast of global industry trends and risk management requirements through analysing trends, tracing changes and implementing refined strategies.
- Analysis: Provide detailed portfolio analysis & insights to inform strategic business decisions
- Advisory: Offer consultative and technical support to strategic decision-making committees.
- Reporting: Manage the design, collation, interpretation and, and dissemination of Business Risk reports incorporating macroeconomic data, demographic trends and industry insights.
- Financial Modelling: Develop and maintain financial models to deliver deeper insights into portfolio and budgeting processes.
- Stakeholder Management: Collaborate with business leaders to shape data -driven strategies across the credit life cycle.
Qualifications
- A First Degree in Statistics, Actuarial Science, Accounting or a related field
- Post Graduate Qualification will be an added advantage.
- 5-7 years of experience in financial services with exposure to regulatory risk and portfolio reporting
- Proven ability to translate complex data into clear business recommendations.
- Strong conceptual, analytical and problem solving skills
Additional Information
Behavioural Competencies:
- Adopting Practical Approaches
- Articulating Information
- Challenging Ideas
- Checking Things
- Convincing People
- Developing Expertise
Technical Competencies:
- Economic Analysis
- Economic Capital Management
- Financial Analysis
- Financial Industry Regulatory Framework
- Financial Modeling
- Stakeholder Engagement
- Advisory and Reporting
Analysis: Provide detailed portfolio analysis & insights to inform strategic business decisions Advisory: Offer consultative and technical support to strategic decision-making committees. Reporting: Manage the design, collation, interpretation and, and dissemination of Business Risk reports incorporating macroeconomic data, demographic trends and industry insights. Financial Modelling: Develop and maintain financial models to deliver deeper insights into portfolio and budgeting processes. Stakeholder Management: Collaborate with business leaders to shape data -driven strategies across the credit life cycle.
A First Degree in Statistics, Actuarial Science, Accounting or a related field Post Graduate Qualification will be an added advantage. 5-7 years of experience in financial services with exposure to regulatory risk and portfolio reporting Proven ability to translate complex data into clear business recommendations. Strong conceptual, analytical and problem solving skills
JOB-682e26945e181
Vacancy title:
Manager, MIS & Portfolio Analysis
[Type: FULL_TIME, Industry: Banking, Category: Management]
Jobs at:
standard bank
Deadline of this Job:
Saturday, May 31 2025
Duty Station:
Hannington Road | Kampala | Uganda
Summary
Date Posted: Wednesday, May 21 2025, Base Salary: Not Disclosed
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JOB DETAILS:
Job Description
This role plays a critical part in shaping data-driven credit strategies that enhance portfolio performance and support sustainable lending decisions.
It also provides strategic business research and analysis for Uganda Credit by keeping abreast of global industry trends and risk management requirements through analysing trends, tracing changes and implementing refined strategies.
- Analysis: Provide detailed portfolio analysis & insights to inform strategic business decisions
- Advisory: Offer consultative and technical support to strategic decision-making committees.
- Reporting: Manage the design, collation, interpretation and, and dissemination of Business Risk reports incorporating macroeconomic data, demographic trends and industry insights.
- Financial Modelling: Develop and maintain financial models to deliver deeper insights into portfolio and budgeting processes.
- Stakeholder Management: Collaborate with business leaders to shape data -driven strategies across the credit life cycle.
Qualifications
- A First Degree in Statistics, Actuarial Science, Accounting or a related field
- Post Graduate Qualification will be an added advantage.
- 5-7 years of experience in financial services with exposure to regulatory risk and portfolio reporting
- Proven ability to translate complex data into clear business recommendations.
- Strong conceptual, analytical and problem solving skills
Additional Information
Behavioural Competencies:
- Adopting Practical Approaches
- Articulating Information
- Challenging Ideas
- Checking Things
- Convincing People
- Developing Expertise
Technical Competencies:
- Economic Analysis
- Economic Capital Management
- Financial Analysis
- Financial Industry Regulatory Framework
- Financial Modeling
- Stakeholder Engagement
- Advisory and Reporting
Work Hours: 8
Experience in Months: 60
Level of Education: bachelor degree
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