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Location: Singapore
Salary: Open
Industry: Import & Export
Sub-industry: General (shosya)
Function: Commodities

Company Overview

- Leading Japanese MNC trading Company.
- Market Risk Analyst
Our client is looking for a Market Risk Analyst for their Risk Management Department in Singapore Office.

Job Description

This position is responsible for market risk management for commodity trading as a member of corporate staffs. It is expected to contribute stable daily operation and effective risk analysis based on practical knowledge of market risk management, mainly middle/back office operation for grain and metal trading.

- Back office of Grain Trading (Market Commodity I): Conduct back office operation correctly, to maintain accurate transaction data and make appropriate daily report.
- Back office of Non-ferrous metal Trading (Market Commodity I): Conduct back office operation correctly, to maintain accurate transaction data and make appropriate weekly report.
- Monitoring Commodity L/S management: Monitor position and profitability for each commodity long short limit, with calculating necessary figures and correcting information.
- Commodity L/S Ringi application: Check and give advice to business department when they apply for Ringi application about commodity long short limit.
- Support business department regarding commodity L/S management: Support business department in about commodity L/S issue.

Requirements

Our client needs someone with the following skills:

- Relevant experience in Credit Risk Management of 2 - 3 years is preferred. Candidates from Trading industry is best suited.
- Basic understanding of financial market and trading.
- Candidate should possess strong interpersonal skills and is level headed in critical situations.
- A proactive team player who is able to work independently.
- Motivation and ability to learn new Knowledge.
- Basic skills of Microsoft Excel/PowerPoint/Word.