Daniel Jacobus van Niekerk

Angestellt, Manager: Market Conduct & Compliance, Standard Bank

Johannesburg, Südafrika

Fähigkeiten und Kenntnisse

Derivatives
Middle Office
Communication
Fidessa Royal Blue
Outlook
MS-office
Front Arena
Teamwork
Change Management
Decision making
Results orientation
Problem Solving
Risk Management
Financial Instruments
Reporting
Compliance
Berichtswesen

Werdegang

Berufserfahrung von Daniel Jacobus van Niekerk

  • Bis heute 11 Jahre und 2 Monate, seit Mai 2013

    Manager: Market Conduct & Compliance

    Standard Bank

    Provide technical expertise and compliance function support to the Group Chief Compliance Officer, the respective Chief Compliance Officers across all business units. Monitor and identify market & regulatory risk, Applying MaR and MiFID regulations to all trading activities, Manage market conduct and market abuse regulatory activities, Maintaining global policies and procedures with regulatory and best practice.

  • 8 Monate, Okt. 2012 - Mai 2013

    Analyst

    Barclays Africa

    Consolidate reporting structures across Corporate and Investing Banking to deliver structured Management Information Reporting. Achievements: Developed macro reporting tool to the cost saving of €7000 per annum

  • 1 Jahr, Nov. 2011 - Okt. 2012

    Manager: Market Operations

    Barclays Africa

    Maintain Settlement payments for all Over-the -Counter derivatives (credit, structured notes, Swaps etc.) Facilitate movement of trade collateral requirements, Equity, Cash and Bonds. Achievements: Enhanced and Automated global settlement process.

  • 4 Jahre und 4 Monate, Aug. 2007 - Nov. 2011

    Risk Manager

    Barclays Africa

    Responsible for managing client default and exposure risks from exchange derivatives. Achievements: Implemented new Risk Exposure reporting focusing on Open Interests. Implemented enhanced risk control procedures preventing €93 million in losses.

  • 1 Jahr und 2 Monate, März 2006 - Apr. 2007

    London Equity Middle Office

    Bear Stearns

    Outline Activity is to resolve all trade failures, manage risk and ensure transactions were executed correctly by front office.

Ausbildung von Daniel Jacobus van Niekerk

  • 1 Monat, Jan. 2019 - Jan. 2019

    Financial Services/Risk Management

    Global Association of Risk Professionals

    Market Risk, Credit Risk, Operational Risk and Asset and Liability Management

  • Bis heute 9 Jahre und 6 Monate, seit Jan. 2015

    Business Management

    Harvard Managment Metor Program

  • 2 Jahre und 10 Monate, März 2013 - Dez. 2015

    Business Management

    University of Edinburgh Business School

    Organisational Behaviour Economics Accounting

  • Bis heute 11 Jahre und 4 Monate, seit März 2013

    MBA

    University of Edinburgh Business School

    Organisational behaviour, Economics, Accounting and Derivatives

  • Bis heute

    Commerce

    University of South Africa

    Economics and Business Management

Sprachen

  • Englisch

    Muttersprache

  • Deutsch

    Grundlagen

  • Niederländisch

    Gut

Interessen

Martial Arts
Documentaries
wood sculpture
scuba diving

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