Market risk analyst – 12 months contract
Market Risk Analyst (12 months’ contract) – Energy Conglomerate
- Established energy conglomerate
- Collaborative, dynamic, and fast-paced team environment
- 12 months’ contract role with conversion possibility
Description
This is an established global energy trader, with a significant presence in Asia and a global footprint. Due to business expansion and increase in trading volume, the Market Risk team is looking to hire a Risk Analyst on a 12 months’ contract basis, with a high possibility of conversion to permanent.
Responsibilities
Reporting to the Head of Risk, the Risk Analyst will be responsible for monitoring daily trades, ensuring the accuracy of data in trading systems, and reporting P&L on a daily and monthly basis. The risk team also assist to optimize hedges by analyzing physical exposures and providing hedge orders to traders. He/ she will monitor authorized trading limits, reconcile hedge instruments such as futures and swaps, and verify the mark-to-market values for trades. The Analyst will also have the opportunity to be involved in developing analytical tools, new projects and process improvisation initiatives.
Requirements
The ideal candidate will possess a bachelor’s degree in mathematics, economics, finance or a related discipline, with a minimum of 1 year experience in energy trading. You will be best described as highly numerate and proficient in Python, VBA and/ or SQL. You should also be highly passionate about energy trading, and also a collaborative team player who can operate in a fast-paced environment.
To Apply
To apply, please submit your resume to Dhanushi De Silva at dhanushi@kerryconsulting.com, quoting the job title and reference number DH29832. Only shortlisted candidates will be contacted.
Reg: R25126625 Lic: 16S8060
Type of Work: Contract
Region: Singapore