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    Last Update : 21/05/2012   

 
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Front office trading risk analyst - commodities - Singapore





Base Salary – $100,000 – $120,000 SGD + front office bonus (PnL generated) & additional benefits

Front Office risk analyst with experience of physical and derivative oil trading required for tier 1 commodities house in Singapore

A leading commodities trading firm is looking to expand its front office market risk team with this key hire. The risk analyst will work directly with the traders on the desk and have a consistent interaction with all areas of the front office including senior management. The firm has had an excellent year and recorded record profits resulting in the expansion of its risk team.

Due to the front office nature of the role the success candidate will have to have excellent oil markets understanding along with being able to deal with a fast paced environment. This role provides an excellent platform in working towards becoming a commodities trader.

The role:

Trade Analysis is one of the central functions in the optimisation of business P&L and provides up to date information and market views to the business. Production of the forward curve to mark to market positions is also a key element to the communication. Other key duties include ensuring all basis risk and volumetric positions are correct and appropriate hedge actions taken, and that all executions are correctly allocated within trading system.

The risk specialist will be responsible for pre and post trade risk analysis and will need to have an understanding of the cycle from start to finish and to adapt according to market changes. The development of Trading and Deal Strategies is an important aspect to the position also. Work with global teams to integrate and create global deals desk and risk strategy.

The successful candidate in this role will have the following background and skill set:

-Excellent market risk background (Commodities; oil)
-Strong VBA/ Excel and MS ACCESS skills
-Experience on VaR models and Stress Tests
-Strong understanding of market fundamentals, trends and structures in the markets they monitor.
-Strong report writing and oral communication skills.
-Strong team player who can effectively manage and work with key risk specialists.
-Cultural Flexibility and capacity to engage with different people
-Be proactive in risk/trade management rather than reactionary.
-Have the desire for career progression into management and trading positions
-Versatility: Can work with trading, structuring, quants, finance and senior management
-Strong financed based educational background- MSc or equivalent degree preferred

If you fit with the above profile please send all applications in word document format by email

Apply by email.
Please do not modify the subject of the mail or your application will not be considered.
 

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