Absa Group

Head of Risk Control Unit

Absa Group

Kampala, Central Region, Uganda · Full Time

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Experience
3+ yrs
Salary
Openings
1
Posted
1 week ago
Work mode
In office
Education
Bachelor's degree
Eligibility
Professionals with a relevant bachelor’s degree and at least 3 years of governance and control experience in financial services can apply. Candidates with postgraduate qualifications or professional accreditation will have an added advantage.
Resume
Required to apply

Where you'll work

Job description

About the Role

This role leads the Risk Control Unit and is focused on strengthening post-sanction oversight, maintaining alignment with credit policy, tracking portfolio performance, and producing strong-quality reporting that supports prudent risk decisions and business outcomes.

About the Employer

The organization brings together more than a century of heritage with local roots and regional as well as international capability. It offers a career path within a growing African financial group that aims to shape the future through opportunity, learning, and development support.

Key Responsibilities

  • Set and uphold rigorous standards for post-sanction follow-up, monitoring, and control by building and applying consistent policies and processes across the Risk Control Unit.
  • Ensure personal compliance with governance requirements, lending controls, and internal procedures, including strong attention to data accuracy and ownership of assigned responsibilities.
  • Partner with central and country credit teams to assess the lending book and risk capability, identify process gaps or weaknesses, and develop action plans to address them.
  • Oversee monitoring and control of the wholesale portfolio to confirm adherence to sanction terms and highlight concerns or possible concerns, while ensuring clear communication across reporting lines.
  • Conduct quarterly reviews of wholesale credit key risks and related mitigations through critical process assessment testing.
  • Track agreed risk performance targets for the RCU team and take corrective steps where needed.
  • Manage facility limit changes, including loading, amendments, and cancellations, so published limits remain aligned with the latest sanction and operating procedures.
  • Oversee the diary system covering deficiencies, repayment dates, excess clearance dates, dated security, and covenant follow-ups.
  • Administer financial covenant and internal risk trigger monitoring, ensuring data integrity, proper advice, and escalation of overdue, failed, or breached covenants.
  • Review interest rates and commissions for corporate clients by using sanction records and interest audit reports.
  • Work with the legal team on non-standard documentation and any changes to standard commercial terms and conditions.
  • Promote knowledge-sharing and good practice across the unit and with business partners.
  • Maintain reliable service quality for RCU stakeholders and collaborate with them to anticipate needs and respond effectively.
  • Attend discussions with Corporate Credit Managers and Relationship Managers when account issues need resolution.
  • Support the Head of Wholesale Credit in executing strategy, improving service, and delivering team outcomes.
  • Lead overall team performance and people management within the Risk Control Unit.
  • Identify high-potential team members, create development plans, and accelerate their growth through targeted deployment.
  • Ensure strong succession planning and build bench strength by preparing the right people for the right roles.
  • Drive training and capability-building initiatives to continuously strengthen staff skills.
  • Create and sustain a motivated, collaborative team with strong working relationships across the unit and broader organization.
  • Model organizational values and encourage their consistent application throughout the team.
  • Build awareness of group policies, RCU procedures, and relevant regulations among team members.
  • Support job rotation, accurate delivery, and efficient working practices while preparing staff for future leadership responsibilities.
  • Contribute to change initiatives that improve processes, quality, cost efficiency, and people development.
  • Lead and embed smooth change management and continuous process improvement efforts.
  • Represent the unit’s work and importance to the wider business, including consultation on policy and procedure changes.

Requirements

  • A bachelor’s degree or an equivalent qualification in a relevant field is required.
  • A postgraduate degree or a relevant professional certification will be considered an advantage.
  • At least 3 years of experience in governance and control within the financial services sector is preferred.
  • Strong working knowledge of corporate banking and credit risk management is needed.
  • Understanding of security/credit documentation and how sanctions and credit issues are interpreted is important.
  • Familiarity with the bank’s products, services, policies, procedures, and local lending/security regulations is required.
  • Excellent negotiation, influence, communication, and presentation skills are expected.
  • Good time management, planning, organization, and cross-functional operating awareness are necessary.
  • The ability to build effective relationships at all levels is essential.
  • A strong risk-and-control mindset, attention to detail, and the ability to work accurately under pressure and meet deadlines are required.

Education

Bachelor’s degree or advanced diploma in Business, Commerce, Management Studies, or a closely related area.

Additional Information

The role emphasizes robust governance, portfolio oversight, covenant tracking, legal coordination on non-standard documentation, team development, succession planning, and continuous improvement. It also requires regular interaction with credit managers, relationship managers, and senior stakeholders.

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