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Senior Market Risk Analyst

$ 6,000 - $ 8,000 / month

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Job Description

Description

Our client is a Commodity Trading MNC with HQ in Japan, currently seeks a Senior Market Risk Analyst to join their team.

Reporting to the Market Risk Manager, the incumbent will be working in a team of 4 staffs. He / She will be responsible for preparing trade reports and quantitative analysis, market risk & trade book management, liaising with different trade desk & trade operations, P&L report, derivatives transactions management, mark-to-market (MtM) methodology, and preparation of periodic financial closing for accounting journals.

Successful applicants can look forward to working in a structured environment with good company benefits.

Skills and Qualifications

  • Min a Bachelor's degree in Business, Finance & Accounting, Economics, Statistics, Engineering or a related field
  • At least 3 years of working experience in the market risk management from a commodity trading firm (e.g. Metals, Agricultural, O&G, etc)
  • Strong in Microsoft Office, especially with Excel features such as Pivot Table, Functions, and V-lookup
  • Knowledge in Middle/ Back/ Front office functions e.g. hedging, derivatives is a plus

Job Description

Description

Our client is a Commodity Trading MNC with HQ in Japan, currently seeks a Senior Market Risk Analyst to join their team.

Reporting to the Market Risk Manager, the incumbent will be working in a team of 4 staffs. He / She will be responsible for preparing trade reports and quantitative analysis, market risk & trade book management, liaising with different trade desk & trade operations, P&L report, derivatives transactions management, mark-to-market (MtM) methodology, and preparation of periodic financial closing for accounting journals.

Successful applicants can look forward to working in a structured environment with good company benefits.

Skills and Qualifications

  • Min a Bachelor's degree in Business, Finance & Accounting, Economics, Statistics, Engineering or a related field
  • At least 3 years of working experience in the market risk management from a commodity trading firm (e.g. Metals, Agricultural, O&G, etc)
  • Strong in Microsoft Office, especially with Excel features such as Pivot Table, Functions, and V-lookup
  • Knowledge in Middle/ Back/ Front office functions e.g. hedging, derivatives is a plus