Standard Bank
Senior Manager, Investment
Job description
To support the Front Office and Portfolio Managers in analysing and executing private debt and credit investment opportunities for Liberty and STANLIB Fixed Income Private Markets portfolios, with the objective of generating sustainable risk-adjusted returns, enhancing portfolio performance, and driving profitable business growth. This includes proactively identifying, originating, and closing SA-focused transactions across a diverse range of sectors in Investment grade and high yield assets.
Type of Qualification: First Degree
Field of Study: Finance and Accounting
Experience Required
Investment Distribution
Investment & Asset Management
+8 years experience in Credit Risk or related field experience
+8 years experience demonstrating experience in a similar environment with extensive exposure to complex transaction structuring, encompassing multiple financing options, diverse sectors, and a range of instruments, including corporate and asset-based lending
+8 years experience experience working independently and managing concurrent work processes and driving delivery on multiple deals/ projects with minimal supervision
Behavioural Competencies:
- Adopting Practical Approaches
- Articulating Information
- Challenging Ideas
- Checking Things
- Conveying Self-Confidence
Technical Competencies:
- Active Investment Management
- Continuous Improvement
- Evaluating Risk Management Effectiveness
- Financial Analysis
- Information Management


