Our client is a well-known international commodities trading firm with a strong presence here in Singapore. They are looking for someone experienced in Market Risk in the Physical Trading space to evaluate the market risk of the firm's commodities portfolio.
Description
Reporting to the Risk Manager, the Market Risk Analyst will be involved in the following:-
Accountable for daily portfolio P&L, ensuring accurate position computation, validation, and reporting.
Collaborate with the operations & finance teams to ensure trades and costs are captured in alignment with company guidelines and accepted accounting principles.
Foster strong communication lines with headquarters regarding risk-related policies and requirements.
Execute risk improvement initiatives, working cohesively across various business teams and commodity products.
Profile
To qualify, the potential Market Risk Analyst should meet the following criteria :-
A recognised Bachelor's Degree in Economics, Finance or a related field.
At least 3 years of market risk experience within the commodity trading industry.
Effective verbal and written communication skills.
Strong stakeholder collaboration skills.
Job Offer
Our client is providing a unique opportunity in Singapore to help grow their footprint in the region. As this is a crucial role, remuneration and bonuses will be in line with market.
To apply online please click the 'Apply' button below. For a confidential discussion about this role please contact Devan Nanthacumar on +65 6416 9879.