Senior Financial Markets Specialist - FMD

South African Reserve Bank · Pretoria, Gauteng

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Job Description

The successful candidate will be responsible for, but not limited to, the following key performance areas:

  • Stay abreast of financial markets developments and provide accurate market information, commentary and recommendations on a regular basis.
  • Conduct high-quality qualitative and quantitative research, analyses and interpretation of domestic and international financial markets in support of the formulation and implementation of monetary policy and for financial stability purposes.
  • Develop, maintain and communicate key Monetary Policy Committee market indicators and ensure their ongoing relevance and methodological soundness.
  • Develop and maintain quantitative analytical frameworks for the measurement and analysis of risk premia, including yield curve dynamics, and provide insights and recommendations to support monetary policy and financial stability.
  • Ensure that methodologies applied in area of specialisation comply with local and international standards and reflect best practices internationally and recommend improvements in methodologies where necessary.
  • Write and contribute to keynote speeches for the Executives of the SARB.
  • Prepare and deliver high-quality presentations to senior forums of the SARB e.g. Monetary Policy Committee, Financial Stability Committee.
  • Produce market reports and feedback to provide management information/market intelligence.
  • Represent the Financial Markets Department on internal and external committees and make presentations at meetings.
  • Build and maintain relationships with stakeholders such as, but not limited to, the banking and asset management sectors for purposes of gathering market intelligence.
  • Ensure the transfer of knowledge and skills to junior specialists, which includes providing technical support and monitoring the application thereof.
  • Perform ad hoc tasks as required.

Qualifications

To be considered for this position, candidates must have

  • a minimum of an Honours /post graduate qualification in Economics/Finance OR equivalent
  • a minimum of eight to ten years' experience in a specialist role in market analysis;
  • knowledge of domestic and international financial markets

Additional requirements include

  • proficiency in the Microsoft Office suite, with expert knowledge of MS Excel;
  • advanced mathematical, statistical or econometric modelling skills;
  • verbal and written communication skills;
  • report writing skills;
  • research methodology skills;
  • planning and organising skills;
  • decision-making skills;
  • interpersonal skills;
  • presenting skills;
  • leadership skills
  • being a team player;
  • integrity;
  • effective communication;
  • building and maintaining relationships;
  • Bloomberg and Reuters skills
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