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Risk Manager - Mandarin Speaking

JR United Kingdom

Slough

On-site

GBP 50,000 - 70,000

Full time

4 days ago
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Job summary

A leading oil trading company is seeking a Mandarin-speaking Risk Manager to be located in Slough. This position involves managing risks related to trading activities, preparing financial reports, and executing treasury operations. Candidates should have a background in oil trading or financial institutions, along with IT proficiency to effectively report risks.

Qualifications

  • Mandarin speaking ability required.
  • Background in oil trading preferred.
  • Experience in product control/market risk and credit/operational risk is a plus.

Responsibilities

  • Identify and assess risks in trading activities.
  • Prepare daily and monthly P&L reports.
  • Carry out treasury operations and manage cash flow.

Skills

Risk Assessment
Mandarin Language
Treasury Operations
IT Proficiency

Job description

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Risk Manager - Mandarin Speaking, slough

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Client:

Marlin Selection Recruitment

Location:

slough, United Kingdom

Job Category:

Other

-

EU work permit required:

Yes

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Job Views:

4

Posted:

10.06.2025

Expiry Date:

25.07.2025

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Job Description:

Our client, an Oil Trading company, is looking for a Mandarin-speaking Risk and Treasury Manager to join their team in London.

Your responsibilities will include:

  • Identify, assess, monitor, and report risks associated with commercial and energy trading activities.
  • Prepare and deliver accurate daily and monthly profit and loss (P&L) reports within required deadlines.
  • Support and coordinate credit application processes initiated by trading and market teams.
  • Carry out treasury operations such as daily bank account monitoring, processing online payments, and performing reconciliations. Maintain and update the daily cash flow statement.

You will need to have the following experience:

  • The ability to speak and write in Mandarin
  • Preferred experience includes a background in oil trading—either within commodity trading firms or financial institutions—with exposure to product control and/or market risk, and a solid understanding of credit and operational risk.
  • Strong proficiency in IT systems to support the quantification, assessment, and reporting of risks and exposures.

For more information, please contact Zoi at Marlin Selection and apply via the link provided.

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