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4 jobs found in Singapore

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    • permanent
    • full-time
    about the company. our client is a MNC trading firm and they're seeking for a Credit Risk Manager - Individual contributor (Global) to join their Risk Management team. about the job Assess creditworthiness of counterparties, assign ratings, and set limitsPresent files and credit requests to regular Credit Risk CommitteesParticipate in counterparty relationship development with Front OfficeNegotiate credit, collateral, and payment terms in contracts in conjunction with Legal and Front Office, including ISDAs and physical master agreementsMonitor credit risk indicators, exposures, limits, and utilization for a portfolio of counterparties.Respond to Front Office queries about exposure of potential trades and whether trades fit limitsMonitor news and credit events impacting portfolio of counterpartiesUnderstand risk calculation methodology, interface with Methodology team in EUAnalyze major transactions and present material to GEM and Group level committeesDevelop credit risk frameworks and methodologies for new products and marketsParticipate in cross-functional projectsskills and experience required Minimally 5-10 years of experience as a Credit Risk Analyst within the Oil & Gas / commodities banking sectorProfessional risk qualification will be an added advantageStrong Python, Excel, VBA, R programming, & SQL skillsStrong analytic, interpersonal and communications skills in order to work with traders, senior management and stakeholdersAble to work in a fast-paced environmentTo apply online please use the 'apply' function, alternatively you may contact Stella He at 6510 3630. (EA: 94C3609/ R1987043 )
    about the company. our client is a MNC trading firm and they're seeking for a Credit Risk Manager - Individual contributor (Global) to join their Risk Management team. about the job Assess creditworthiness of counterparties, assign ratings, and set limitsPresent files and credit requests to regular Credit Risk CommitteesParticipate in counterparty relationship development with Front OfficeNegotiate credit, collateral, and payment terms in contracts in conjunction with Legal and Front Office, including ISDAs and physical master agreementsMonitor credit risk indicators, exposures, limits, and utilization for a portfolio of counterparties.Respond to Front Office queries about exposure of potential trades and whether trades fit limitsMonitor news and credit events impacting portfolio of counterpartiesUnderstand risk calculation methodology, interface with Methodology team in EUAnalyze major transactions and present material to GEM and Group level committeesDevelop credit risk frameworks and methodologies for new products and marketsParticipate in cross-functional projectsskills and experience required Minimally 5-10 years of experience as a Credit Risk Analyst within the Oil & Gas / commodities banking sectorProfessional risk qualification will be an added advantageStrong Python, Excel, VBA, R programming, & SQL skillsStrong analytic, interpersonal and communications skills in order to work with traders, senior management and stakeholdersAble to work in a fast-paced environmentTo apply online please use the 'apply' function, alternatively you may contact Stella He at 6510 3630. (EA: 94C3609/ R1987043 )
    • permanent
    • full-time
    about the company. our client is a reputable MNC Oil & Gas Trading firm. They're currently hiring for a Market Analyst (Across the barrels). about the job Perform market analysis (fundamental data; update monthly S&D balances)Maintain, improve and distribute fundamental reports for certain products assignedTrack refinery maintenance, expansions, trade flows, and fuel specification changesModel demand based on seasonal patterns like weather, holidays and economic expansionSupport the commercial team (traders / business development) on various research topicsProvide analysis and recommendations on hedging activitiesProvide fundamental analysis and trade ideas to tradersProvide daily market updates of news and analysis pertinent (includes market intelligence from a range of publications, news sources and original work)Work and collaborate with different internal stakeholders & teams on areas such as updating on the corporate long-range price forecasts and presentationsskills and experience required Minimally 3 years of market / trading analyst experience within the oil & gas industryApplicants who graduated with Bachelor’s degree in engineering, finance or economics without relevant experience are welcomeStrong with numerical data, analysing trends, graphs and identifying discrepanciesMeticulous and organised with high level of attention to accuracy and detailsProficiency with Excel, Access or other database software, statistical modelling software, and economic model development is a plus (R, Matlab, Eviews, Stata,etc)Coding experience in SQL and VBA or other programing language will be a plusTo apply online please use the 'apply' function, alternatively you may contact Stella He at 92326504. (EA: 94C3609/ R1987043 )
    about the company. our client is a reputable MNC Oil & Gas Trading firm. They're currently hiring for a Market Analyst (Across the barrels). about the job Perform market analysis (fundamental data; update monthly S&D balances)Maintain, improve and distribute fundamental reports for certain products assignedTrack refinery maintenance, expansions, trade flows, and fuel specification changesModel demand based on seasonal patterns like weather, holidays and economic expansionSupport the commercial team (traders / business development) on various research topicsProvide analysis and recommendations on hedging activitiesProvide fundamental analysis and trade ideas to tradersProvide daily market updates of news and analysis pertinent (includes market intelligence from a range of publications, news sources and original work)Work and collaborate with different internal stakeholders & teams on areas such as updating on the corporate long-range price forecasts and presentationsskills and experience required Minimally 3 years of market / trading analyst experience within the oil & gas industryApplicants who graduated with Bachelor’s degree in engineering, finance or economics without relevant experience are welcomeStrong with numerical data, analysing trends, graphs and identifying discrepanciesMeticulous and organised with high level of attention to accuracy and detailsProficiency with Excel, Access or other database software, statistical modelling software, and economic model development is a plus (R, Matlab, Eviews, Stata,etc)Coding experience in SQL and VBA or other programing language will be a plusTo apply online please use the 'apply' function, alternatively you may contact Stella He at 92326504. (EA: 94C3609/ R1987043 )
    • permanent
    • full-time
    about the company. our client is a well established and reputable MNC Trading firm. They're currently seeking a product controller / middle office as part of their expansion plan. about the job This incumbent would be supporting the team with preparation of trade reports and quantitative analysis of the books with guidance from the existing members as well as functional division. Perform Profit and Loss analysis and prepare position reports for the Trade BooksManage derivatives transactions – carrying out trade reconciliation, managing accounts and monitoring derivative positions periodicallyPrepare periodic closing of accounting journalsTo manage receivables (TT payment basis) within the approved credit limit and prepare the credit limit applications in a timely mannerMaintain and update operational work flow of the products in a timely mannerEnhance efficiency through spreadsheet automation, structured data management and utilisation of existing internal systemAny other duties assignedskills and experience required Degree in Business / Finance & Accounting / Engineering / Statistical from a recognised universityAt least 2 to 3 years of relevant experience in the commodity trading industry, experience in hard commodities preferredExperience in bulk shipmentsStrong interpersonal and communication skillsStrong in numbers and is tech savvyProficient in MS Pivot Table, V-lookup; VBA would be a plusTo apply online please use the 'apply' function, alternatively you may contact Stella He at 65103630. (EA: 94C3609/ R1987043)
    about the company. our client is a well established and reputable MNC Trading firm. They're currently seeking a product controller / middle office as part of their expansion plan. about the job This incumbent would be supporting the team with preparation of trade reports and quantitative analysis of the books with guidance from the existing members as well as functional division. Perform Profit and Loss analysis and prepare position reports for the Trade BooksManage derivatives transactions – carrying out trade reconciliation, managing accounts and monitoring derivative positions periodicallyPrepare periodic closing of accounting journalsTo manage receivables (TT payment basis) within the approved credit limit and prepare the credit limit applications in a timely mannerMaintain and update operational work flow of the products in a timely mannerEnhance efficiency through spreadsheet automation, structured data management and utilisation of existing internal systemAny other duties assignedskills and experience required Degree in Business / Finance & Accounting / Engineering / Statistical from a recognised universityAt least 2 to 3 years of relevant experience in the commodity trading industry, experience in hard commodities preferredExperience in bulk shipmentsStrong interpersonal and communication skillsStrong in numbers and is tech savvyProficient in MS Pivot Table, V-lookup; VBA would be a plusTo apply online please use the 'apply' function, alternatively you may contact Stella He at 65103630. (EA: 94C3609/ R1987043)
    • permanent
    • full-time
    about the company. our client is a well known and reputable MNC oil trading firm that does oil & gas products. They're seeking for a Risk Management Officer covering for their market & credit risk. about the jobDaily reporting of exposure, P&L and analysis of the risk residing within the trading portfolio.Work closely with the trading teams to understand their portfolio, plans and strategies and will provide analytical support as required.To perform month-end, quarter-end (inventory valuations) and year-end (annual back-test and stress-test) evaluations, in a timely manner.Responsible for development of the Risk reporting systems and associated business processes to align practices in Asia with the global risk reporting models and risk assessment philosophies.Calculate the current credit risk position exposed to customers using the designated system.skills and experience requiredMinimally 2 years of Risk Management experience within the commodity trading / banking industryFresh graduate without experience graduated with bachelor degree in mathematics / economics / statistic / financial engineering / quantitative finance are welcomeExcellent spreadsheet capability in MS Excel, VBA and PowerBI would be of an advantageThis incumbent should possess strong communication skills and able to articulate well.To apply online please use the 'apply' function, alternatively you may contact Stella He at 92326504. (EA: 94C3609/ R1987043)
    about the company. our client is a well known and reputable MNC oil trading firm that does oil & gas products. They're seeking for a Risk Management Officer covering for their market & credit risk. about the jobDaily reporting of exposure, P&L and analysis of the risk residing within the trading portfolio.Work closely with the trading teams to understand their portfolio, plans and strategies and will provide analytical support as required.To perform month-end, quarter-end (inventory valuations) and year-end (annual back-test and stress-test) evaluations, in a timely manner.Responsible for development of the Risk reporting systems and associated business processes to align practices in Asia with the global risk reporting models and risk assessment philosophies.Calculate the current credit risk position exposed to customers using the designated system.skills and experience requiredMinimally 2 years of Risk Management experience within the commodity trading / banking industryFresh graduate without experience graduated with bachelor degree in mathematics / economics / statistic / financial engineering / quantitative finance are welcomeExcellent spreadsheet capability in MS Excel, VBA and PowerBI would be of an advantageThis incumbent should possess strong communication skills and able to articulate well.To apply online please use the 'apply' function, alternatively you may contact Stella He at 92326504. (EA: 94C3609/ R1987043)

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