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Location: Singapore
Salary: Open

Job Description

Our Client:

Our client is Korea's leading trade and distribution company which is specialized for petroleum product. They are actively seeking for a Credit Risk Manager to join their team in Singapore.

The Responsibilities:

* Assist the Head of Risk Management in establishing and optimizing the company's risk management system and credit evaluation processes
* Manage trading partners' credit limits, insurance, and market information, ensuring compliance with policies
* Monitor counterparties' credit status, report anomalies, and propose risk mitigation measures
* Evaluate and manage guarantees received by the company or its subsidiaries
* Stay informed about legal, compliance, and market risks impacting credit decisions
* Collaborate with relevant departments and handle ad hoc risk assessments
* Perform other duties assigned by senior management

The Requirements:

* Bachelor's Degree in Business, Economics, Finance, or related field
* Minimum 2 years of relevant experience in Broker Trading Industry
* Excellent decision-making skills in credit approval processes
* Proficiency in supply and trading competencies, including regulatory compliance and analytical skills
* Excellent communication and teamwork skills
* Good ethical conduct, responsibility, and attention to detail

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Disclaimer: The Company complies with the Tripartite Guidelines on Fair Employment Practices (TGFEP), including the prevailing guidelines on recruitment. All qualified applicants will be considered for the position regardless of their age, race, religion, nationality, marital status, or family responsibilities. A more detailed discussion of the TGFEP is available on the Tripartite Alliance for Fair and Progressive Employment Practices (TAFEP) website at https://www.tal.sg/tafep.

JO Reference: JO-240219-345166