The Role:
My Client is a global Commodities Trading House and we are looking for a Market Risk Manager to join the business in Singapore. You will be reporting to the Head of Market Risk based in their HQ, and will be given the opportunity to manage Risk and spearhead new frameworks across multiple products.
Responsibilities:
- Oversee all Middle Office and Market Risk related work
- Work with the Traders on any PnL and Hedging related work
- Manage the Trading desk's exposure and calculate Value at Risk (VaR)
- Manage daily Profit & Loss (P&L) reporting
- Ensure that trading activities are within internal and external policies
- Update and enhance any ETRM related data and processes
- Perform mark to market and any adhoc quantitative related work
Requirements:
- A bachelors degree in a reputable university
- 5 to 12 years of experience in a Commodities Risk / Middle Office function
- Experience across VaR, PnL, Mark to Market etc
- Candidates with VBA, Python, R preferred
Take charge of this opportunity to welcome a new career challenge in 2024.
EA Personnel No R1985201
BeathChapman Pte Ltd
Licence No 16S8112