Our client is a Commodity Trading company
Responsibilities:
1. Continuously monitor trading activities for potential risks (market, counterparty, operational).
2. Analyze financial data and market indicators.
3. Evaluate risks tied to new products, trading strategies, and proposed transactions.
4. Perform quantitative and qualitative analyses to assess risk exposure.
5. Enhance risk management models (mathematical, statistical, simulation, valuation).
6. Estimate financial instrument values.
7. Prepare regular risk reports for management.
8. Collaborate with other departments (front office, back office).
9. Ensure adherence to financial regulations and internal standards.
10. Monitor regulatory developments and update risk policies.
Profile:
11. Bachelor’s degree in engineering, Numerical, Finance, Computer Science or similar
12. 3-5 years' experience, ideally at least 1-1.5 years of direct Shipping experience
13. Experience in an Oil Commodity Trading company
14. Data analytical skills and Knowledge of IMOS
15. Proficient excel, VBA abilities, (Python is a plus)
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