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Market Risk Analyst
- Highly dynamic and team-based environment
- Regional scope - Market Risk analysis and Financial Modeling
About Our Client
Our client is a fast growing international brand in the commodity & energy trading industry. With fast growth and aggressive expansion plans in Asia, this is a newly created role of Market Risk Analyst to join the regional Headquarter based in Singapore.
Reporting to the Group CFO, you will be responsible for the overall identification, measurement, management and monitoring of market risks within the commercial and trading activities. As a deputy to the Market Risk Manager, you will be reviewing financial risk of investment proposals as well as assessing the risk and rewards of new business inititatives. You will also be monitoring the performance and reasonability of the risk systems, improving the risk management framework, performing financial modeling to assess returns and involvement in special projects with the global team.
The Successful Applicant
You should be degree qualified in Business / Economics / Finance or equivalent. Recent years in market risk analysis and financial modeling is highly desired. You are self-motivated, independent, highly analytical and a good team player. You should also possess excellent interpersonal and communication skills, and the confidence to deal with various levels of people and culture.
What's on Offer
The ideal candidate will be remunerated competitively by contributing in a diverse and fast-pace environment.