SENIOR ANALYST: DEBT ISSUANCE AND MANAGEMENTREF NO: S009/2021

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Purpose: Finance the government’s borrowing necessities thru the issuance
of authorities securities in the home and global capital markets; and to
manage the government’s present inventory of debt to develop the whole investor base.
SALARY : R869 007per annum, (all-inclusive remuneration package)
CENTRE : Pretoria

REQUIREMENTS : Qualifications and journey requirements: A minimal Degree in Economics/ Finance/Statistics/ Investment Management or Mathematical Sciences with exposure to the money, banking and capital markets, A minimal four years’ experience in economic markets, with constant profits buying and selling or lookup experience an brought advantage, Knowledge and journey in quantitative research methodologies, Knowledge and trip in market evaluation associated to information for utilisation in the broader business, Knowledge and trip in dealing with a number of overseas activity charge markets and currencies, Experience in qualitative and quantitative evaluation of home and overseas capital markets.

DUTIES : Some key Outputs include: Finance borrowing requirement in home and international capital markets: Provide correct inputs required to formulate funding strategy, finances evaluate and medium time period budget, Undertake quantitative and qualitative evaluation on debt administration problems and advise/inform the issuances of authorities securities in the home and worldwide capital markets, Keep
up to date with the funding necessities and liaise with applicable stakeholders, Perform market, quantitative and yields evaluation for bond public sale announcements and advise bonds to be issued Oversee the weekly bond auctions, liaise with SARB, observe up and file on troubles springing up from the auctions and compile comprehensive public sale reviews Stakeholder engagement: Develop and implement
tools that will preserve and develop the investor base, Develop and put in force investor internet site to enhance stakeholder engagement, Engage home and foreign investor stakeholders, thru roadshows and different mediums, Develop relationship with stakeholders such as banks, home and overseas traders and
engage legal professionals on sure conditional necessities Disclose list requirements in home and offshore bond issuance: Initiate the annual submitting method of the 18K structure with overseas stakeholders like the U.S. Security Exchange Commission and Japan, Adhere to disclosure and checklist necessities related with domestic and offshore bond issuance, Engage stakeholders on regular data in the sourcing and trade of processing, Verify facts for correctness and ensure their accuracy Management of domestic and overseas forex debt: Monitor the debt portfolio and put in force techniques in order to limit the re-financing risk
and cost, Initiate regular market and portfolio evaluation of qualitative and quantitative home and overseas forex debt information, Monitor home and international monetary occasions and their have an effect on on the South African economic system and the debt portfolio, Analyse and endorse on prudent debt administration insurance policies and recommend corrective debt techniques for implementation Perform lookup on markets volatility and behavior usual market research: Initiate lookup on capital markets pertaining to market volatility in the prudent administration of debt, Perform research on neighborhood and worldwide markets to continue to be abreast of trends which may have an affect debt administration issues, Analyse and supply inputs to briefing notes and speeches.

ENQUIRIES : Recruitment.Enquries@treasury.gov.za

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