Job Responsibilities:
· Implement market risk management based on physical and paper trading
· P&L analysis of paper deals and match the physical and paper deal according to hedging strategy
· Verify the daily statements of agents and calculate margin call
· Perform credit worthiness analysis and reviews for existing and new customers.
· Assess and approve credit limit requests and provide support for payment terms recommendations.
· Ensure adherence to company’s credit policy and comply with established processes.
· Prepare monthly credit and market risk reports.
· Development and implementation of credit and market risk framework and policies.
· Perform full credit analysis and provide credit and payment terms recommendation.
· Provide support for all credit and market risk analysis related functions
· Other duties assigned by superior.
Job Requirements :
· Candidate must possess a Degree in related field or equivalent
· Effective team player with at least 1 year experience in risk analysis / control management
· Good team player and problem-resolver
· Self-motivated and be able to work under pressure and have sense of urgency
Interested candidates who wish to apply for the advertised position, please click on “Apply”. We regret that only shortlisted candidates will be notified.
EA License No. 01C4394 (PERSOLKELLY SINGAPORE Pte Ltd)
By sending us your personal data and curriculum vitae (CV), you are deemed to consent to PERSOLKELLY Singapore Pte Ltd and its affiliates to collect, use and disclose your personal data for the purposes set out in the Privacy Policy available at https://www.persolkelly.com.sg/policies. You acknowledge that you have read, understood, and agree with the Privacy Policy.