The successful candidate will be responsible for the following key performance areas:
Develop and manage the implementation of operational plans for the section.
Manage the output of the capital analyst team responsible for capital-related support, monitoring and reporting of current and emerging risks pertaining to capital management.
Lead and manage strategic relationships (stakeholders/clients, within the South African Reserve Bank and externally).
Manage the delivery of work objectives by optimising resources, setting targets, prioritising work and directing other operational activities.
Identify and mitigate risks related to own function and ensure compliance with relevant governance frameworks.
Develop a risk-monitoring framework for the identification, monitoring and management of risks, including climate risk to the insurance and other sectors.
Manage inputs to the macroeconomic assessment in collaboration with the Financial Stability Department and identifying emerging risks, trends and concentrations in the insurance and other sectors.
Provide integrated management information reports on the insurance and other sectors to internal stakeholders and other relevant authorities.
Participate in local and international committees or forums, including the International Association for Insurance Supervisors (IAIS), its subcommittees and the relevant working groups and those related to climate risk.
Manage, develop and implement the regulatory and supervisory frameworks relating to capital management of insurers and other sectors.
Manage staff performance and support career management and development.