Are you looking to advance your career in market risk management within the dynamic oil and energy trading sector? We are hiring on behalf of our client, a well-established company in the industry, seeking a **Market Risk Executive**to join their team. If you have a keen eye for risk, strong analytical skills, and an interest in both physical and paper trading, we’d love to hear from you
- Implement risk management strategies for both physical and paper trading activities.
- Analyze P&L for paper deals and ensure alignment between hedging strategies and trading activities.
- Verify daily statements from agents and calculate margin calls.
- Conduct creditworthiness assessments for both new and existing customers.
- Evaluate and approve credit limit requests while recommending suitable payment terms.
- Ensure compliance with credit policies and risk management frameworks.
- Prepare monthly reports on credit and market risk exposure.
- Contribute to the development and enhancement of risk management policies.
- Support credit and market risk analysis functions.
- Handle additional tasks as assigned.
- *What We’re Looking For**:
- **Degree in Finance, Business, Economics, or a related field.**
- **At least 1 year of experience**in risk analysis, credit analysis, or control management.
- Strong analytical and problem-solving skills with the ability to work under pressure.
- A proactive, self-motivated team player with keen attention to detail.
- **Proficiency in English and Mandarin**to communicate with Mandarin-speaking stakeholders.
- *Why Join Us?**
- Gain hands-on exposure to risk management in the fast-paced oil trading industry.
- Be part of a reputable company with strong market presence.
- Work in a collaborative and supportive environment with career growth opportunities.