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A leading company seeks a Mandarin Speaking Risk and Treasury Manager in London. The role involves managing risk frameworks and treasury functions, requiring strong analytical and communication skills, alongside a solid background in finance. You'll collaborate across teams and handle daily financial operations while ensuring compliance.
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ELP Consult Ltd.
London, United Kingdom
Other
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Yes
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1bf081f2c81a
13
22.06.2025
06.08.2025
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· Regular review and implementation of the overall company risk management framework (policies, procedures and methodologies) across European operations.
· Assist the supervisor with risk assessment and the implementation of appropriate limits for new activities, and evaluate the materiality of gaps in the valuation and risk measurement of existing transactions.
· Conduct regular reviews of the appropriateness of established limits in light of current trading book strategies, and monitor compliance with those limits and relevant trading and control policies.
· Identify, measure, manage, and report risks arising from commercial and energy trading activities.
· Deliver insightful analysis to management and trading teams on sources of value, key risk exposures, and scenario testing to support strategic decision-making.
· Work closely with teams across trading, operations, finance, and other relevant functions to support business.
· Produce daily and monthly P&L reports in a timely manner.
· Assist and coordinate credit application requests from trading and market teams.
· Regular meetings with the Head office to communicate and report on counterparty risk issues and related matters.
Others:
· Product control responsibilities, including new business and product applications, settlement of exchange-listed futures and cleared swaps, margin call management, and other related tasks.
· Operational risk management and enterprise risk management.
· Attend weekly, fortnightly, and monthly meetings with the Singapore office risk and trading teams, and report relevant matters to management.
· Prepare reports and ad hoc materials in a timely manner, meeting all specifications and requirements.
· Support other potential engagements across the Company.
Minor Role & Responsibilities (Finance function)
Treasury management:
· Perform treasury functions including daily bank account management, online payments, and reconciliations. Update the daily cash flow statement .
· Monitor daily cash movements to ensure prompt collection from debtors and timely payments to suppliers. Perform monthly cash flow analysis as part of the month-end close process.
· Ensure compliance with the policies on the holding of EUR, GBP, and other non-functional currencies.
· Coordinate with trading and operations team to issue SBLCs/LCs, prepare loan documents, and negotiate terms with counterparties and banks.
· Support bank facility negotiations and handle internal PCG applications.
· A degree in Business, Economics, Finance, or other quantitative disciplines is preferred.
· Solid experience in product control and/or market risk within oil trading companies or banks, along with fundamental knowledge of credit and operational risk.
· High IT proficiency to facilitate the quantification, measurement, and reporting of risks and exposures.
· Strong team player with excellent collaboration and communication skills across internal functions and external partners.
· Strong business acumen with excellent organisational and interpersonal skills.
· Solid understanding of the energy commodities trading industry and external markets, with hands-on experience in ETRM systems, preferably Commodity XL.
· Solid understanding of regulatory compliance, assurance, and product control.
· Quantitative and analytical skills will be a plus.