Assistant / Market Risk Manager

China Aviation Oil (Singapore) Corporation Limited

Singapore

On-site

SGD 180,000 - 300,000

Full time

13 days ago
Application generator

Don’t send a generic resume — generate a resume and cover letter tailored to this exact role.

Get past ATS filters

Job summary

China Aviation Oil (Singapore) Corporation Limited in Singapore seeks an experienced Risk Management professional to assist in implementing the company-wide Risk Management Framework and to monitor market risks across trading books.

You will assess risks, set limits, perform VaR analysis, and provide insightful risk reports to Management and trading teams. Strong bilingual English/Mandarin and IT literacy are essential.

Qualifications

  • University degree in a relevant discipline is required.
  • Post-graduate degree in Business, Economics, Finance, or numerical discipline preferred.
  • Min. 10 years of relevant experience, including at least 5 years in similar capacity.
  • High degree of IT literacy enabling quantification, measurement & reporting of trading risks & exposures.
  • Demonstrate Supply & Trading competencies: understand energy trading industry, regulatory compliance, and quantitative skills.

Responsibilities

  • Assist Head of Risk Management in implementing the Risk Management Framework.
  • Assess risks and set limits for new activities; evaluate material gaps in valuation and risk measurement.
  • Regularly review limits and monitor compliance with trading and control policies.
  • Monitor trading books, communicate with front/back and back office; ensure data accuracy and daily exposure reporting.
  • Perform monthly closing tasks and provide P&L analysis for the books.
  • Maintain and enhance VaR models; conduct stress testing and scenario/back-testing; provide risk insights to Management and trading teams.
  • Gather daily mark-to-market data and upload into CXL system; perform End-of-Day operations.
  • Possess knowledge of biofuels market dynamics and pricing mechanisms.
  • Hedge account: review strategy, effectiveness, and hedging ratio calculations; report monthly/quarterly/annual results.

Skills

Energy market understanding
Regulatory compliance
Quantitative & analytical skills
Excellent communication
Team player
Bilingual English/Mandarin

Education

University degree in a relevant discipline
Post-graduate degree in Business, Economics, Finance, or numerical discipline

Job description

1. Assist the Head of Risk Management in the implementation of the overall company Risk Management Framework (policies, procedures and methodologies).

2. Assist the Head of Risk Management in the assessment of risks andimplementation of appropriate limits for new activities. Assess the materialityof gaps in the valuation and risk measurement of existing transactions.

3. Conduct regular review on the appropriateness of established limits, inlight of current trading book strategies and monitor established limits andcompliance to trading and control policies.

4. Responsible for effective monitoring, early warning and reporting of thetrading books under his/her responsibility. To communicate effectively withfront and back office personnel, as well as to ensure completeness and accuracyof data in the system. On a daily basis in accordance to the Company policies,to compute, monitor, analyse and report the exposure of the books, ensuringthat the exposures are under the approved limits. Effective monitoring andunderstanding of market so as to mitigate potential risk events that theCompany may encounter.

5. Perform monthlyclosing tasks as required for the books under his/her responsibility, andprovide analysis for the profit and loss position for the books. Also to assistin the drafting of various reports as requested by the Risk ManagementCommittee.

6. Possess a strongunderstanding of market risk valuation models, including the principlesunderlying VaR methodologies, and be responsible for maintaining and enhancingexisting VaR models to ensure their ongoing relevance and effectiveness.Conduct stress testing, scenario analysis, and back-testing on a regular basisin accordance with requirements to ensure the validity and reliability of riskmeasurement results. In addition, provide value-added risk analysis andinsights to Management and trading teams on sources of profit and loss, keyrisk exposures, and scenario analysis to support informed decision-making.

7. Gather and compiledaily mark to market prices and any relevant data and information fordissemination to relevant personnel and uploading of the data into CXL system.Also to perform End-of-Day operations in CXL system.

8. Possess foundational knowledge of the biofuels market, including itsmarket dynamics, business models, and pricing mechanisms.

9. Responsible for the hedging business of the account in charge, including but not limited to thereview and monitoring of the hedging strategy, the evaluation of the hedgingeffectiveness, the accuracy and rationality of the hedging ratio calculation,the review of the monthly, quarterly and annual reports of the hedging business,and the compliance inspection etc.

Requirements:

1. University Degree in arelevant discipline is required. Post-graduate degree in Business, Economics,Finance, or other numerical discipline preferred;

2. Min. 10 years of relevant experience, including at least 5 years in similar capacity;

3. High degree of IT literacy as an enabler to the quantification, measurement & reporting oftrading risks & exposures;

4. Demonstrate the following Supply & Trading Competencies:

  • Understand the Energy Commodities Trading Industry & External Market (Skillful Application)
  • Regulatory Compliance & Assurance (Basic Application)
  • Quantitative & Analytical Skills (Skillful Application)

5. Excellent communication skills, strong team player with ability to work collaboratively with external vendor, and internal staff in the Trading, Risk Management, Operations, Finance and IT Departments;

6. Possess strongbusiness acumen, good team spirit and excellent organizational, communication& interpersonal Skills;

7. Meticulous, good organisational, time management skills and stress tolerance with proven ability to manage multiple priorities;

8. Effectively bilingual in both English and Mandarin (as the position needs to frequently communicate with English/Chinese-speaking stakeholders verbally/ in writing as well as to prepareand proof-read English/Chinese official documents and presentations wheneverappropriate).

Get your free, confidential resume review.
or drag and drop your file here.
Similar jobs

Similar jobs worth comparing

Market Risk Assistant Manager (Oil & Gas) @Suntec|AWS
Market Risk Assistant Manager (Oil & Gas) @Suntec|AWS

GREENLANE PRIVATE LTD. • Singapore

On-site
SGD 150,000 - 210,000
Risk Manager
Risk Manager

BEIJING GAS SINGAPORE PRIVATE LIMITED • Singapore

On-site
SGD 120,000 - 180,000
Risk Manager
Risk Manager

SINOCHEM INTERNATIONAL OIL (SINGAPORE) PTE LTD • Singapore

On-site
SGD 120,000 - 180,000
Risk Management Manager (Commodity & LNG)
Risk Management Manager (Commodity & LNG)

GOOD JOB CREATIONS (SINGAPORE) PTE. LTD. • Singapore

On-site
SGD 100,000 - 140,000
Risk Management Executive
Risk Management Executive

CHINA OFFSHORE OIL (SINGAPORE) INTERNATIONAL PTE LTD • Singapore

On-site
SGD 60,000 - 90,000
VP/Director – Market Risk Management
VP/Director – Market Risk Management

Huatai International Financial Holdings Company Limited • Singapore

On-site
SGD 180,000 - 260,000
Head of Risk Management
Head of Risk Management

Achieve Group • Singapore

On-site
SGD 180,000 - 260,000
Market Risk professional supportingMetal/Gas/Power/Coal trading with international commodity trading MNC
Market Risk professional supportingMetal/Gas/Power/Coal trading with international commodity trading MNC

THE CAP CONSULTING GROUP PTE. LTD. • Singapore

On-site
SGD 90,000 - 130,000
Var bonus
Global exposure
Global Market Risk Director - Rates, FX & Commodities
Global Market Risk Director - Rates, FX & Commodities

Huatai International Financial Holdings Company Limited • Singapore

On-site
SGD 180,000 - 260,000
Senior Risk Officer
Senior Risk Officer

Gunvor Group Ltd • Singapore

On-site
SGD 180,000 - 300,000