· Risk Management with focus on counterparties risk management, market risk, credit risk, country risk, trade compliances, system control, legal and compliance risks.
· Review trading & credit limits of new and existing counterparties, involving in-depth analysis of counterparty’s financial standing, business outlook, risks and opportunities.
· Responsible in identifying, analyzing and assessing risks, controls and processes in operation of the existing business & new business.
· Report the findings and recommend processes, systems and control points to manage both inherent and residual risks as well as improve weaknesses in the system/ business operations.
· Ensure the development, implementation and improvement of the overall effectiveness of risk management SOP and policy
· Active participation in the development of information systems and databases to accurately capture trade & credit exposures in consolidated form.
· Ensure competent, dedicated and motivated workforce to achieve the goal
Requirements:
· Candidate should possess (Hons) Bachelor's Degree in Accounting/ Finance / Economics / Business Science / Engineering
· Minimum 5 years of working experience preferably in the commodity industry with specific exposure to risk management related field or credit risk management
· Candidate must possess:
Ø good leadership
Ø good communication and interpersonal skills
Ø high level of integrity and credibility
Ø positive working attitude and highly motivated
Ø good planning and organizing skills
Ø commercial awareness