Market Risk and Product Control Analyst - Internship

Mitsubishi Corporation RtM International Pte Ltdorg.mitsubishicorp.com

Singapore

On-site

SGD 20,000 - 33,000

Part time

14 days+

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Job summary

Mitsubishi Corporation RtM International Pte Ltd is seeking a Market Risk and Product Control Intern to assist with P&L analysis, price risk monitoring, and data-driven risk reporting in a global commodity context.

You will contribute to digital transformation initiatives, automate workflows, and collaborate with risk, trading, and technology teams. A quantitative degree and strong Excel skills are essential for success.

Qualifications

  • Pursuing a bachelor’s degree in mathematics, statistics, finance, or a related quantitative discipline.
  • Strong analytical and quantitative skills, with the ability to work with large datasets.
  • Interest in commodity markets with a basic understanding of derivatives and risk concepts an advantage.
  • Proficiency in Excel; familiarity with a programming or scripting language (e.g. Python, or VBA) an advantage.

Responsibilities

  • P&L Analysis and price risk monitoring across commodity trading portfolios.
  • Analyze market and trading datasets to identify trends, anomalies, and key risk drivers.
  • Support the development and enhancement of quantitative tools for risk analysis, reporting, and workflow automation.
  • Contribute to digital transformation projects related to CTRM systems, reporting infrastructure, and data management.
  • Collaborate with risk, trading, and technology teams to improve data quality, reporting processes, and analytical capabilities.

Skills

Analytical mindset
Quantitative skills
Interest in commodity markets
Excel proficiency
Python or VBA familiarity

Education

Bachelor’s degree in mathematics, statistics, finance, or related quantitative discipline

Tools

Excel
Python
VBA

Job description

Market Risk and Product Control Analyst – Intern

Reports to Senior Manager, Market Risk

Purpose of role

We are seeking a highly motivated and analytical candidate to join the Market Risk & Product Control team. This role offers hands‑on exposure to global commodity markets, trading activities, risk management frameworks, and valuation methodologies across physical and derivatives products.

Responsibilities
P&L Analysis and price risk monitoring (20%)
  • Perform daily monitoring of prices, P&L, and market risk exposures across commodity trading portfolios.
  • Analyze market and trading datasets to identify trends, anomalies, and key risk drivers
  • Support the development and enhancement of quantitative tools for risk analysis, reporting, and workflow automation
Digital Transformation involvement (40%)
  • Contribute to process automation initiatives to improve efficiency, scalability, and control within the risk function
  • Support digital transformation projects related to CTRM systems, reporting infrastructure, and data management
  • Collaborate with risk, trading, and technology teams to improve data quality, reporting processes, and analytical capabilities
  • Assist in the AI implementation and enhancement of reporting solutions
Ad hoc projects and duties (40%)
  • Participate in ad hoc risk management initiatives, projects, and analytical assignments such as implementing the new risk matrix.
Knowledge and Experience
  • Pursuing a bachelor’s degree in mathematics, statistics, finance, or a related quantitative discipline
  • Strong analytical and quantitative skills, with the ability to work with large datasets
  • Interest in commodity markets, with a basic understanding of derivatives and risk concepts an advantage
  • Proficiency in Excel; familiarity with a programming or scripting language (e.g. Python, or VBA) an advantage
Personal Attributes
  • Resourceful, with strong quantitative and analytical skills
  • Be self‑motivated, proactive and adaptable
  • Excellent communication and interpersonal skills
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