Re-Advert: Chief Advisor Portfolio Market Risk Assessment

Listing reference: eskom_002063
Listing status: Online
Apply by: 19 December 2025
Position summary
Industry: Electricity, Energy & Water Supply
Job category: Media, Advertising, PR, Publishing and Marketing
Location: Sunninghill
Contract: Permanent
Remuneration: Market Related
EE position: No
Introduction
Position/Task Grade: G17 Area of specialization: To identify, quantify, monitor, and report on financial market risk exposure resulting from Eskom’s positions in the financial markets. Department: Treasury Business Unit: Portfolio Assessment Location: Megawatt Park Reference Number: 50892057MN
Job description

·       Provide specialist advice regarding portfolio market risk measures.

·       Conduct advance financial markets strategy analysis.

·       Specialists advise in compiling strategic and trading portfolios risk profile reports.

·       Source, record, verify, report on market rates and prices.

·       Advance modelling and valuation of business contracts.

·       Assist in compiling daily monthly, quarterly, and ad-hoc market risk exposure reporting requirements.

 “If you have not been contacted within 28 days after the closing date of this advertisement, please accept that your application was unsuccessful.”

“Eskom is committed to equality, employment equity, and diversity. In accordance with the employment equity plan of Eskom and its employment equity goals and  targets, preference may be given, but is not limited, to candidates from under-represented designated groups.  Eskom reserves the right not to make an appointment to the posts as advertised.  Candidates with disabilities are encouraged to apply for positions.” 

Eskom is committed to providing a smoke-free environment for its employees and visitors at the workplace.

Minimum requirements

      Qualification(s): 

·       B Degree/B Tech/Advanced Diploma in  Finance/Accounting/Mathematics/ Statistics at NQF7 with 360 credits.   

      Related Minimum Experience:

·       Minimum of 10 years of Experience in financial markets and instruments, market risk exposure, the contribution of different financial markets instruments to portfolio risk, modelling the instruments and understanding of company financial statements.

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