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Market Risk Analyst (Energy & Commodities

MICHAEL PAGE INTERNATIONAL PTE LTD

Singapore

On-site

SGD 70,000 - 100,000

Full time

Today
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Job summary

A leading multinational in energy seeks a market risk professional to perform daily reporting and analysis, ensuring adherence to risk policies. The role offers competitive compensation and opportunities for career advancement within a dynamic environment, making it ideal for driven individuals with strong analytical skills.

Benefits

Competitive compensation
Access to advanced analytical tools
Clear pathway to subject-matter expertise

Qualifications

  • Minimum 5 years of market risk experience, ideally in commodities, energy or derivatives.
  • Strong command of VaR, derivatives, and market risk metrics.
  • Excellent quantitative and analytical skills.

Responsibilities

  • Perform daily market risk reporting including P&L, exposure monitoring and VaR.
  • Analyse and explain key P&L drivers and exposure changes.
  • Lead enhancements in risk analytics and reporting efficiency.

Skills

Market risk experience
VaR
Analytical skills
Communication skills
Job description
About Our Client

Our client is a leading multinational in the energy and commodities sector, widely respected for its financial strength, analytical sophistication, and commitment to nurturing long-term talent. The organisation promotes a culture where innovation, professional growth, and technical mastery are at the forefront. With strong leadership, cutting-edge tools, and a collaborative and inclusive work environment, this is an ideal platform for risk professionals seeking impactful work and global progression.

Job Description
  • Perform daily market risk reporting including P&L, exposure monitoring and VaR across global commodity positions.
  • Analyse and explain key P&L drivers and exposure changes to provide independent, high-quality insights.
  • Conduct VaR modelling, risk stress testing and scenario analysis at both trade and portfolio levels.
  • Ensure adherence to internal risk policies and limits, escalating breaches and advising on remediation.
  • Lead enhancements in risk analytics, automation, dashboard visualisation and reporting efficiency.
The Successful Applicant
  • Minimum 5 years of market risk experience, ideally within commodities, energy or derivatives-focused environments.
  • Strong command of VaR, derivatives, market risk metrics and commodity market fundamentals.
  • Excellent quantitative and analytical skills, comfortable working with complex models and large datasets.
  • Strong communicator who can simplify complex risk concepts for traders and senior stakeholders.
  • Highly organised, collaborative and effective in a fast-paced, high-performance environment.
What's on Offer

You will join an internationally recognised organisation that prioritises technical mastery, continuous learning and long-term career development. This role offers significant exposure to senior decision-makers, meaningful participation in complex risk discussions, and a dynamic environment that rewards strong performance and initiative. You can expect competitive compensation, access to advanced analytical tools, and a clear pathway to becoming a market risk subject-matter expert within a world-class organisation.

Michael Page International Pte Ltd | Registration No. 199804751N

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