Standard Bank Group
Standard Bank Group is hiring for a portfolio risk management position focused on credit analytics and reporting. This full-time job in Kenya offers the opportunity to work with data analytics and business intelligence tools in the banking sector. If you have 3-4 years of experience in credit data analytics, you can apply for this role on a rolling basis.
📋 Job Overview
- Category: Banking Jobs
- Job Type: Full Time Jobs
- Location: Nairobi
- Company: Standard Bank Group
- Application Deadline: Rolling basis
- Last Updated: March 30, 2026
Analyst, Portfolio Management, Risk at Standard Bank Group – Standard Bank Group Kenya Job Details
Job Description
To prepare, collate, design and develop risk reports to enable the Risk team to provide high quality reporting to key stakeholders according to set deadlines. To manage portfolio risk and concentrations within the Credit environment to ensure the portfolio remains within the risk appetite.
Qualifications
- Type of Qualification: First Degree
- Field of Study: Mathematical Sciences or other related field
- SQL/SAS/Python/PowerBi proficiency is essential
Experience Required
- 3 -4years
- Credit Data Analytics within Personal & Private Banking.
- Experience in (preferably credit) data exploitation and business intelligence development and implementation
- Experience in the extraction, transformation and visualization of data using bank approved toolsets e.g. SQL/SAS/Python/PowerBi
🎯 How to Apply
To apply for this job please visit www.standardbank.com.
❓ Frequently Asked Questions
You must hold a first degree in Mathematical Sciences or a related field to qualify for this Analyst, Portfolio Management, Risk at Standard Bank Group job in Kenya. Proficiency in SQL, SAS, Python, or Power BI is essential for the role, as these tools are used daily for data extraction and visualization in the analytics function.
This job jobs in Kenya requires 3 to 4 years of experience in credit data analytics within Personal and Private Banking environments. You should have demonstrated experience in credit data exploitation, business intelligence development, and the ability to extract, transform, and visualize data using bank-approved toolsets when you apply for the Analyst, Portfolio Management, Risk at Standard Bank Group Kenya position.
In this role, you will prepare, collate, design, and develop risk reports to support the Risk team in delivering high-quality reporting to key stakeholders. Your responsibilities will also include managing portfolio risk and concentrations within the credit environment to ensure the portfolio remains aligned with the organization's risk appetite, making this Analyst, Portfolio Management, Risk at Standard Bank Group job in Kenya critical for the banking operations.
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